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Course Goals
Course Goals
This course builds upon, and implements in Excel, the fundamental financial analysis and valuation
topics. Create a top-down, five year income statement projection model and then construct a basic
discounted cash flow analysis on top of your projection model.
Course Sections
Introduction
Income Statement Input Historicals
Income Statement Calculate Growth Margins
Income Statement Projected Future Profits
Discounted Cash Flow Free Cash Flow Calculation
Discounted Cash Flow EBITDA Multiple Approach
Discounted Cash Flow Perpetuity Growth Approach
Tips
Prerequisites