- Setting up cash-flow based model for investment calculation
- Cash-flow analysis
- Balance sheet analysis
- Working capital analysis
- Profitability analysis, performance ratios (NPV, IRR, MIRR, Payback, RONA, EVA)
- Sensitivity analysis
- Investments comparison techniques
- Investments consolidation techniques
- Difference investment – margin calculation
- Investment proposal
In this training session you will learn how to make investment calculations and verify their profitability using Invest for Excel® software. You will be introduced to calculation templates and frameworks of the cash flow models. We will guide you through every step of calculation, profitability analysis and sensitivity analysis. We will also show you how to check which parameters of your investment are the most sensitive. You will learn the techniques of different scenarios comparison, investments consolidation or margin calculation.
Using specialised on-line training technology and conference telephone links, our tutor takes you through all steps of calculations and analysis. After training you know how to make an investment calculation in a fully independent manner.
Live Web Training provides you with general understanding of the topic covered. You will be introduced to the best calculations framework of Invest for Excel, which serves as a standard in many corporations worldwide (see Customers). By attending the Live Web Training you save traveling costs and your time.
Price does not include VAT.
How to register?
You can register by:
Phone: +358 19 54 10 100
Fax: +358 19 54 10 111