Program Objectives & Learning Outcomes
At the end of this course, participants will;
Gain a deep understanding of financial statements and how they interconnect
Master Excel for building professional financial models from scratch.
Apply industry-standard valuation methodologies including DCF, precedent transactions, and comparable company analysis.
Build complete forecast models and communicate insights effectively to stakeholders.
Strengthen your ability to assess investment opportunities and strategic decisions through scenario planning and sensitivity analysis.Module 1: Introduction to Financial Statements
Program Content
Module 1: Introduction to Financial Statements
- Understand the income statement, balance sheet, and cash flow statement
- Analyze financial health using ratios and trends
- Identify key financial drivers and assumptions
Module 2: Excel for Financial Modeling
- Master essential Excel formulas and tools
- Structure and format professional models
- Use scenario and sensitivity analysis techniques
Module 3: Valuation Fundamentals
- Understand DCF, comparables, and precedent transaction methods
- Calculate WACC, terminal value, and intrinsic value
- Perform valuation analysis using real-world case studies
Module 4: Integrated Financial Modeling
- Link income statement, balance sheet, and cash flow in Excel
- Build a full forecast model
- Present and interpret model outputs
Who should attend?
Our Numbers Do Not Lie
2,000+
Professionals Trained
Empowering individuals with practical, career-boosting skills across industries.
200+
Courses Delivered
Covering leadership, operations, digital skills, customer service, and more.
200+
Courses Delivered
Covering leadership, operations, digital skills, customer service, and more.
