Want FREE Templates on Strategy & Transformation? Download our FREE compilation of 50+ slides. This is an exclusive promotion being run on LinkedIn.

  Please register (it's free!) or login to view the remaining preview.
If you are logged in, your referral link [?] is automatically included below.
EMBED CODE (Copy and Paste)


BENEFITS OF DOCUMENT

  1. Presents an operating and valuation scenario for a Commercial Bank
  2. Suitable for any type of bank

DOCUMENT DESCRIPTION

Financial model presenting an operating and valuation scenario for a Commercial Bank

The model can be fully modified and applied to any type of bank and its main purpose is to enable users to get into details of every step of a Commercial Bank operating cycle and forecast up to 10 years of financials in order to reach an implied share price.

It includes calculations of Bank Loans, Interest Bearing Assets & Liabilities, Revenue (Interest, Non-Interest), Dividends and Share Issuance, OpEx, Payroll and Capital Costs, etc.

Outputs of the template include Forecasted Financial Statements (3 Statement Model), Regulatory Capital Report, Dividend Discount Model and company's results are presented and summarized on a professional Executive Dashboard.

The model is dynamic and allows users to select the desired forecasted Years (1 to 10). Output Reports & Charts are dynamically updated based on the selected forecast period

The structure of the template follows Financial Modeling Best Practices principles and is fully customizable.

Model Structure:

General Setup
•  The General Setup tab contains all of the initial assumptions including stock information, Interest Bearing Assets & Liabilities, Interest Rates, Non-Interest Income & Expenses, Balance Sheet Assumptions, CapEx and depreciation and assumptions for the dividend discount model (cost of equity, Terminal P / TBV Multiple, etc.)

Forecast Scenarios
•  Three cases to choose from (Base, Upside, Downside) include scenarios for the main operating drivers of the model

Loans
•  Calculation of 5 Types of Bank Loans (Commercial Mortgages, Asset Finance, Business Credit, Secured Lending, Consumer Lending) including net charge-offs and provision of credit losses.

Model Calculations
•  Calculation Interest Income and Expense, Non-Interest Revenue, Risk-Weighted Assets (RWA), Issued Dividends, Common Share Issuances

Financial Statements
•  Dynamic 10 Year Forecast (3 Statement Model) including supporting schedules for PP&E, Intangible Assets and Federal Funds Balancers

Capital Report
•  Regulatory capital report, showing the amount of capital the bank has to hold as required by its financial regulator

Dividend Discount Model with Sensitivity Analysis
•  Bank's valuation using the dividend discount model method. The dividend discount model (DDM) is a quantitative method used for predicting the price of a company's stock based on the theory that its present-day price is worth the sum of all of its future dividend payments when discounted back to their present value.

Key Metrics & Performance Dashboard
•  Summary of various KPIs and Financial Ratios and presentation of key business figures using highly-sophisticated Charts & Graphs

Executive Summary Report
•  Bank's high level relevant information for review designed to be easy to read, print, and save to pdf.

Help & Support

Committed to high quality and customer satisfaction, all our templates follow best practice financial modeling principles and are thoughtfully and carefully designed, keeping the user's needs and comfort in mind.
No matter if you have no experience or you are well versed in finance, accounting and the use of Microsoft Excel, our professional financial models are the right tools to boost your business operations!
If you however experience any difficulty while using this template and you are not able to find the appropriate guidance in the provided instructions, please feel free to contact us for assistance.
If you need a template customized for your business requirements, please e-mail us and provide a brief explanation of your specific needs.

Got a question about the product? Email us at [email protected] or ask the author directly by using the form to the right. If you cannot view the preview above this document description, go here to view the large preview instead.

Source: Commercial Bank Financial Model - Dynamic 10 Year Forecast Excel document

 

Commercial Bank Financial Model - Dynamic 10 Year Forecast

Sold by GL Consulting (this author has 74 documents)

$129.00

ALL FEES INCLUDED
Add to Cart
  

This business document is categorized under the function(s):

It applies to Investment Banking

File Type: Excel (xlsx)

File Size: 409.1 KB

Related Topic(s): Integrated Financial Model

Purchase includes lifetime product updates. After your purchase, you will receive an email to download this document.

Initial upload date (first version): Nov 30, 2021
Most recent version published: Nov 30, 2021

Ask the Author a Question

Must be logged in Click here to log in






CUSTOMER TESTIMONIALS




SELECT CUSTOMERS

Since 2012, we have provided best practices to over 5,000 businesses and organizations of all sizes across the world—in over 130 countries. Below is just a very small sample of our customer base.



Did you know?
The average daily rate of a McKinsey consultant is $6,625 (not including expenses). The average price of a Flevy document is $65.



CUSTOMERS ALSO BOUGHT THESE DOCUMENTS

Excel workbook
$109.00
Excel workbook
$109.99
Excel workbook
$109.00
Excel workbook
$49.00
Excel workbook and supporting Word
$249.00
Excel workbook
$99.00
Excel workbook
$24.95
Author: prozaro

 
RELATED TOPICS

TOP 10 TOPICS

Become your organization's resident expert on...

Digital Transformation
 
Strategy Development
 
Post-merger Integration (PMI)
 
Organizational Design (OD)
 
Performance Management
 
Business Transformation
 
Organizational Culture (OC)
 
Customer-centric Design (CCD)
Interested in something else? Browse our 350+ Business Toolkits of best practices, each focused on a specific management topic.