—Jeffrey Nuechterlein, Managing Partner, Isis Capital
“Building Financial Models with Microsoft Excel takes a complex but criti-
cal subject and presents it in a concise, easy-to-follow fashion. This book
is an indispensable reference guide for anyone who needs to build or ana-
lyze fi nancial models using Microsoft Excel.”
—Michael R. Lincoln, Partner, Cooley Godward LL
Building Financial Models with
Microsoft
®
Excel
®
A Guide for Business Professionals
PROCTOR
Includes
CD-ROM
Second Edition
wileyfi nance.com
Document Outline - Building Financial Models with Microsoft® Excel®, Second Edition: A Guide for Business Professionals
- Contents
- Foreword
- Preface
- PURPOSE OF THIS BOOK
- NEED FOR THIS BOOK
- TARGET AUDIENCE FOR THIS BOOK
- SUMMARY OF CONTENTS
- A FINAL NOTE
- Acknowledgments
- Part One: The Master Budget
- Chapter 1: Overview of Budgets and Financial Models
- BUDGETS
- FINANCIAL MODELS
- QUESTIONS
- Chapter 2: Operating Budget—Assumptions, Sales, and Collections
- NAPAVALE—BACKGROUND INFORMATION ON EXAMPLE COMPANY
- STEP 1: ASSUMPTIONS AND DASHBOARD WORKSHEET
- STEP 2A: UNIT SALES AND PRICE BUDGET
- FORMATTING TIPS
- FEATURE TIP: NAMING CELLS AND CELL RANGES
- STEP 2B: SALES COMPOSITION BUDGET
- STEP 2C: CASH COLLECTIONS FROM CUSTOMERS BUDGET
- STEP 2D: ACCOUNTS RECEIVABLE BUDGET
- QUESTIONS
- Chapter 3: Operating Budget—Cost of Goods Sold, Inventory, and Purchases
- STEP 3: COST-OF-GOODS-SOLD BUDGET
- STEP 4A: INVENTORY BUDGET
- STEP 4B: PURCHASES BUDGET
- STEP 4C: DISBURSEMENTS FOR PURCHASES BUDGET
- STEP 4D: ACCOUNTS PAYABLE BUDGET
- QUESTIONS
- Chapter 4: Operating Budget—Operating Expenses
- STEP 5A: HEADCOUNT BUDGET
- STEP 5B: OPERATING EXPENSES BUDGET
- STEP 5C: DISBURSEMENTS FOR OPERATING EXPENSES BUDGET
- QUESTIONS
- Chapter 5: Operating Budget—Income Statement
- STEP 6: BUDGETED STATEMENT OF INCOME
- QUESTIONS
- Chapter 6: Financial Budget—Capital Budget and Cash Budget
- STEP 7A: CAPITAL EXPENDITURES BUDGET
- STEP 7B: DISBURSEMENTS FOR CAPITAL EXPENDITURES BUDGET
- STEP 7C: DEPRECIATION BUDGET
- STEP 8: CASH BUDGET
- QUESTIONS
- Chapter 7: Financial Budget—Balance Sheet
- STEP 9: BUDGETED BALANCE SHEET
- QUESTIONS
- Part Two: Financial Statements and Free Cash Flows
- Chapter 8: Consolidated Financial Statements
- BALANCE SHEET
- INCOME STATEMENT
- STATEMENT OF CASH FLOWS
- QUESTIONS
- Chapter 9: Free Cash Flows and Dashboard
- CALCULATION OF FREE CASH FLOWS
- DASHBOARD
- QUESTIONS
- Part Three: Analysis of a Financial Model
- Chapter 10: Sensitivity Analysis
- DASHBOARD
- DATA TABLES
- QUESTIONS
- Chapter 11: Contribution Margin Analysis
- FIXED AND VARIABLE COSTS
- CONTRIBUTION MARGIN
- OPERATING LEVERAGE
- BREAKEVEN POINTS IN UNITS
- BREAKEVEN POINT IN DOLLARS
- QUESTIONS
- Chapter 12: Financial Ratios Analysis
- PROFIT MARGINS—FINANCIAL RATIOS
- INVESTMENT RETURNS—FINANCIAL RATIOS
- MANAGEMENT EFFICIENCY—FINANCIAL RATIOS
- QUESTIONS
- Chapter 13: Valuation
- DISCOUNTED CASH FLOW
- PUBLIC COMPANY COMPARABLES
- MERGERS AND ACQUISITIONS COMPARABLES
- WEIGHTED VALUATION
- QUESTIONS
- Chapter 14: Capitalization Chart
- FOUNDING CAPITALIZATION CHART
- EQUITY INVESTMENT’S EFFECT ON CAPITALIZATION CHART
- STOCK OPTIONS’ EFFECT ON CAPITALIZATION CHART
- QUESTIONS
- Answers to Chapter Questions
- Appendix: General Overview of Microsoft Excel 2007 Features and Functionality
- BASIC FUNCTIONALITY
- FORMATTING
- FORMULAS AND FUNCTIONS
- ADVANCED FEATURES
- About the CD-ROM
- About the Author
- Index
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