Published by FT Publishing International (October 12, 2012) © 2013

Alastair Day
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    ISBN-13: 9780273776758

    Mastering Cash Flow and Valuation Modelling in Microsoft Excel ,1st edition

    Language: British English

    Your practical step-by-step guide to planning and building cash valuation models. Through a set of comprehensive instructions and templates it provides the tools to build models that will enable you to carry out accurate and informed analysis of your company’s cash liabilities, cash flow and value.

     

    If you are buying the ebook, companion files can be downloaded from the digital downloads section of http://www.financial-models.com/.

    Acknowledgements

    About the author

    Conventions

    Overview

    Executive summary

    Warranty and disclaimer

     

    1 Introduction and overview

    Scope of the book

    Model design methodology

    Example models

    Summary

     

    2 Functions

    Categories

    Finance

    Mathematics

    Time

    Lookup

    Logic

    Text

    Other functions

    Summary

     

    3 Model template

    Design objectives

    Systematic design method

    Case objectives

    Templates

    Input sheet

    Timeline

    Summary

     

    4 Historic statements

    Accounting sheets

    Income Statement

    Balance sheet

    Adjustments

    Summary

     

    5 Sales forecast

    Forecasting objectives

    Method

    Sales

    Common size analysis

    Forecast sheet

    Summary

     

    6 Assets

    Fixed assets

    Excel functions

    Existing assets

    New asset depreciation

    Written down value

    Asset summary

    Tax depreciation

    Summary

     

    7 Debt

    Debt schedule

    Required entries

    Interest rates

    Forecast income statement

    Forecast balance sheet

    Summary

     

    8 Balance sheet

    Current assets

    Non-current assets

    Current liabilities

    Long-term liabilities and shareholders’ funds

    Tax

    Balancing item

    Summary

     

    9 Cash flow

    Outline

    Cash flow statement

    Cash for debt service

    Cash waterfall

    Chart

    Summary

     

    10 Ratios

    Method

    Common size analysis

    Core ratios

    Profitability

    Operating efficiency

    Financial structure

    Cash flow

    Debt coverage

    Growth

    Market ratios

    Summary

     

    11 Cost of capital

    Background

    Cost of debt

    Preference capital

    Historic cost of equity

    Forecast cost of equity

    Cost of capital

    Graphical representation

    Summary

     

    12 Valuation

    Cash flows

    Terminal value

    Choice of method

    Initial valuation

    Chart

    Summary

     

    13 Other approaches

    Method

    Book value

    Adjusted book value

    Market value

    Multiples

    Peer data

    Summary

     

    14 Alternative methods

    Method

    Adjusted present value

    Economic profit

    Summary

     

    15 Sensitivity

    Outline

    Returns

    Data matrix

    Scenario manager

    Manual scenarios

    Summary

     

    16 Optimisation

    Outline

    Goal Seek

    Solver

    Coding Solver

    Summary

     

    17 Reporting

    Reporting

    Executive summary

    Dashboard

    Dynamic charts

    Summary

     

    18 Auditing and review

    Model review

    Self-checks

    Excel audits tools

    Consistency checks

    Audit sheet

    Summary

     

    19 Documentation

    Documentation

    Navigation

    Protection

    Version check

    Final review

    Summary

     

    Appendices

    1 Functions list, software installation and licence

    2 An introduction to Microsoft® Office 2010 (Office 14)

     

    Index