Learn how to construct different financial models and analyse their applications
and uses:
Model Design and Structure
Spreadsheet Best Practice
Testing and Auditing a Model Forecasting
Sensitivity and Risk
Simulation
Optimisation and Targeting
Management...
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Learn how to construct different financial models and analyse their applications
and uses:
Model Design and Structure
Spreadsheet Best Practice
Testing and Auditing a Model Forecasting
Sensitivity and Risk
Simulation
Optimisation and Targeting
Management Reporting
On completion of this 3-day training programme delegates will be able to:
Understand the different types of financial models and when each should be applied
Construct models that are robust, tested and scalable
Incorporate elements such as risk, sensitivity, optimisation and forecasting into
the model
Produce management reports, summaries and meaningful charts
Teaching methodology
The programme is taught using formal lectures combined with practical and
interactive case studies and exercises to reinforce the concepts covered in each
teaching session.
Emphasis is placed on delegates gaining practical, hands-on
experience of the design and construction of financial models in Excel.
Comprehensive product notes and modelling so
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