Prep Investment Banking – Excel Modelling Course
The course is designed to give students an overview of excel modelling. The course is based on 3 chapters: 1. 3 Statements Model, 2. Discounted Free Cash Flow Model and 3. Leveraged Buyout Model
What You’ll Learn In Excel Modelling Course
Course Overview
- COURSE OVERVIEW
Financial Statements Model
- Income Statement
- Cash Flow Statement
- Balance Sheet
- Recap
- Excel Model Practice – 3 Statements
Discounted Free Cash Flow Model
- Introduction to the DCF
- Historical Income Statement and Balance Sheet
- Filling the Income Statement
- Filling the Balance Sheet
- Income Statement Projections
- Terminal Value Theory
- Computation of Terminal Value Assumptions
- Valuation
- Introduction to the WACC
- Capital Asset Pricing Model
- Computation of the WACC
- Enterprise Value and Equity Value
- Excel Model Practice – DCF
Leveraged Buyout (LBO) Model
- LBO Assumptions
- LBO Income Statement
- LBO Cash Flow Statement
- LBO Debt schedule
- LBO Filling
- LBO Returns
- LBO Sensitivity
- LBO Other factors
- Excel Model Practice – LBO
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