Equity Analyst Training Series 3

5 Smart Methods to Designing Financial Modeling

Time & Date

On July 29, 2013 at 09.00 - 17.00   On August 19 & 26 at 09.00 - 17.00


This course will discuss the step-by-step procedures to build a financial model for making financial statements projection of non-financial companies using Microsoft Excel® spreadsheet. The financial model, comprising income statement, balance sheet and cash flow statement, will then be used to construct basic discounted cash flow valuation.  


  • Understand procedures in making financial statements projection
  • Understand the interrelation among financial statements
  • Comprehend procedures in constructing a discounted flow valuation


  • Principles of financial modeling
  • Forecasting of Income Statement and Balance Sheet for decision making
  • The Cash Flow Statements
  • What if analysis - Risk to Cash Flow
  • Specific case study for financial modeling 



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