BENEFITS OF DOCUMENT
DESCRIPTION
This excel provides a financial model for projecting the financial position of a company. In particular we look at estimating the income statement, balance sheet and cash flows statement and establish the linkage between them. Includes the following:
1. Balance Sheet
2. Income Statement
3. Cash Flow
4. Debt Repayment
5. Book Depreciation
6. Tax Depreciation
7. Income Tax
8. Ratio Analysis
9. Assumptions
Got a question about the product? Email us at support@flevy.com or ask the author directly by using the "Ask the Author a Question" form. If you cannot view the preview above this document description, go here to view the large preview instead.
Source: Integrated Financial Model Excel (XLSX) Spreadsheet, CorporateFinanceDude
PowerPoint Diagrams Compilation Growth Strategy Breakout Strategy Valuation Model Example Manufacturing Porter's Five Forces Maturity Model Entrepreneurship Small Business Consulting Frameworks
Download our FREE Strategy & Transformation Framework Templates
Download our free compilation of 50+ Strategy & Transformation slides and templates. Frameworks include McKinsey 7-S Strategy Model, Balanced Scorecard, Disruptive Innovation, BCG Experience Curve, and many more. |