Get your financial statements in top shape with this 10-year forecasting financial modeling tool to help you produce a P&L (Profit and Loss), Cash Flows Statement, Balance Sheet, Break-even Analysis, DCF, and an analysis of your statements – all driven from your inputs. A huge number of line items that can be chosen as needed and the instructions to work it out.
The Analysis component will show you year by year changes in your financials and gives you the ability to look beneath the financial statements and truly understand business.
The Discounted Cash Flow analysis is a helpful valuation method that uses future cash flow predictions to estimate investment return potential by discounting these projections to a present value approximation and using this to assess the attractiveness of the investment.
This excel is incredibly easy to customize for any business by changing the Inputs & Assumptions tab and following the instructions listed in the excel.