Excel-Financial-Model is a powerful, easy-to-use Excel spreadsheet tool, enabling entrepreneurs, start-ups as well as established companies to create professional, integrated financial projections for up to 5 years – in less than 2 hours! Using Excel-Financial-Model generates a solid and well-structured financial plan, including all the required forecasting elements: integrated financial statements with full Profit and Loss (P&L), Cash Flow, and Balance Sheet reports as well as key operating metrics. Excel-Financial-Model is quick and flexible to use, even without accounting and financial knowledge, it is fully adaptive to your business and great value for money. Excel-Financial-Model helps you understand and grow your business, calculate cash requirements, and raise investment capital. Entrepreneurs & Start-ups Setting up an integrated financial model can be a challenging task, especially for entrepreneurs with only minimal previous experience in that area and/or without a financial background. Excel-Financial-Model guides you step-by-step through the important assumptions and automatically recalculates your complete forecasts and metrics with each new input. This provides you with a solid and reliable financial planning you can trust – and most importantly – which is suitable to convince investors.
Financial Modeling: Learn the actual hands-on step by step process of. Note: The Excel shortcuts in this course are not optimized for Mac Versions of Excel, but. Learn Advanced Excel for Mac through HD video tutorials from award-winning Microsoft MVP Ken Puls with this personalized online course.