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
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Source: Integrated Financial Model Excel (XLSX) Spreadsheet, CorporateFinanceDude
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