Financial Modelling Workshop

所在平台: Udemy

课程主页: https://www.udemy.com/course/financial-modelling-workshop/

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课程简介

课程名称:金融建模工作坊 课程概述:本课程是一个入门级的金融建模工作坊,涵盖多个模块,旨在帮助参与者构建一个包含历史数据和预测数据的模型,生成一套相互关联的财务报表,遵循领先的建模实践,并以透明、灵活、稳健和用户友好的方式操作。课程的设计使得您可以按照自己的节奏学习,随时开始和停止;课程总时长不足一天,能够轻松融入您的现有日程;它为初学者提供有用的建模介绍,同时也可作为有一定经验者的复习资料;参与者将获得一个简单但足够灵活的财务模型,可作为今后的起始模板;如需额外支持,参与者可以随时通过电子邮件联系讲师。 课程内容:课程包括每个模块的简短视频,讲解关键概念并通过Excel演示支持;提供包含练习的Excel文件以及完整解决方案;一个全面集成的财务模型(包含损益表、现金流量表和资产负债表),结合历史和预测数据,并采用经过验证的最佳实践建模技术构建。课程结束时将提供一项额外的练习,以巩固所学的关键知识。 课程模块及目标: 1. 领先实践:了解什么是领先实践及其带来的好处,实际运用一些领先实践。 2. 格式化:学习一些提升财务模型可读性的格式化技巧。 3. 财务报表(回顾):了解财务报表的定义及相互关系,观察示例交易如何影响主要报表。 4. 模型结构与流程:查看构成财务模型的不同部分及其链接,学习如何逻辑且用户友好地结构化模型。 5. 模型时间线:理解如何选择模型中最合适的时间线,运用领先建模实践构建模型时间线。 6. 数据验证:了解数据验证如何应用于模型输入,并提高模型的复杂性和稳健性,实践数据验证。 7. 时间标志:理解何为时间标志,应用地点及其带来的好处,运用领先建模实践计算时间标志。 8. 集成财务报表:以集成的方式设置模型的财务报表,为填充计算的预测数据做好准备。 9. 控制账户:深入了解控制账户方法,了解其作为财务模型核心构建块的原因,依据领先实践构建控制账户。 10. 处理历史数据:理解在定期需整合新历史数据时,如何以稳健且可管理的方式调整金融模型。 11. 检查:查看可构建于模型中的不同类型的自动检查,运用领先建模实践构建自动模型检查。 12. 课程后练习:巩固前面模块中学到的所有关键知识。

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课程详情

This is an introductory financial modelling workshop covering the modules listed below. It is designed to help participants construct a model that accommodates both historical and forecast data, generates a set of integrated financial statements, follows leading modelling practices and operates in a transparent, flexible, robust and user-friendly manner. The course is designed such that: You can work at your own pace and start and stop whenever you need; It takes less than a day to complete and hence can easily fit around your existing schedule; It serves as a useful introduction to modelling but can also be used as a refresher for those with some prior experience; Participants take away a simple yet sufficiently flexible financial model that can be used as a starting template going forward; and You can contact the instructor anytime via email should you need additional support when completing the course. What is included A short video for each module listed below, covering the key concepts and supported by demonstrations in Excel; Excel files containing practice exercises, together with the full solutions; and A fully integrated financial model (with income statement, cash flow statement and balance sheet) that incorporates both historic and forecast data and which is built according tried and tested best practice modelling techniques. At the end of the course An additional practice exercise is provided at the end of the course which consolidates all the key lessons learned. Course modules and objectives covered The course consists of the following modules to be completed in this order. Participants are expected to watch the video content for each module first and then complete the set exercises in Excel, for which solutions are provided. Module 1: Leading practices Understand what they are and the benefits they can bring Use some leading practices Module 2: Formatting Learn some formatting techniques that improve the readability of a financial model Module 3: Financial statements (a recap) Understand what they are and how they relate to each other See how some example transactions impact each of the primary statements Module 4: Model structure & flow View the different sections that make up a financial model and how they link together Learn how to structure a model in a logical and user-friendly manner Module 5: Model timeline Understand how to choose the most appropriate timeline to use in a model Use some leading modelling practices to construct a model timeline Module 6: Data validation See how data validation can be applied to a model's inputs and make the model more sophisticated and robust Put data validation into practice Module 7: Timing flags Understand what they are, where they can be applied and the benefits they can bring Use some leading modelling practices to calculate timing flags Module 8: Integrated financial statements Set up a model's financial statements in an integrated manner, ready to be populated with calculated forecasts Module 9: Control accounts Gain a thorough understanding of the control account methodology Appreciate why they are the core building blocks of any financial model Build some control accounts using forecast drivers and according to leading practices Module 10: Working with historical data Understand how to adjust a financial model in a robust and manageable way when new historical data needs to be incorporated on a regular basis Module 11: Checks See the different types of automated checks that may be built into a model Use some leading modelling practices to construct an automated model check Module 12: Post course exercise Consolidate all the key lessons learned in the previous modules

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