- Understanding Financial Statements: Interpret and analyze key financial statements (income statement, balance sheet, cash flow statement) to assess a company’s performance.
- Building Financial Models: Construct financial models from scratch, including projections for revenue, expenses, profitability, and cash flow.
- Valuation Techniques: Apply valuation methods such as Discounted Cash Flow (DCF) and comparable company analysis to determine the value of a business or investment.
- Scenario and Sensitivity Analysis: Use scenario and sensitivity analysis to evaluate the impact of different assumptions and variables on financial outcomes.
- Advanced Excel Techniques: Master advanced Excel functions and tools like pivot tables, data validation, and financial formulas to streamline modeling and reporting.
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