Practical Financial Modelling
A Guide to Current Practice
- 1 Edición - 15 de diciembre de 2004
- Última edición
- Autor: Jonathan Swan
- Idioma: Inglés
This book is for all financial professionals whose work, to a greater or lesser degree, involves complex spreadsheets and financial models. This includes investment bankers,… Leer más
Descripción
Descripción
This book is for all financial professionals whose work, to a greater or lesser degree, involves complex spreadsheets and financial models. This includes investment bankers, commercial banks, accountancy firms, property firms, public sector including local government and healthcare, PFI/PPP enterprises, financial managers and financially literate general managers. Junior/middle management, where the focus would be on cash flow forecasting and budgeting tasks, will also find this book of value.
For the vast majority of people involved in this subject, financial modelling is an activity, a task requiring skills. Once people have the ability to structure the model, they have a better starting point from which to address the financial problems. This new book proposal intends to offer that starting point.
Theory is limited to the absolute essentials that aid understanding; thus the focus with this new book is very practical - this is "how-to-do-it", showing best practice, and is illustrated with many practical worked examples.
For the vast majority of people involved in this subject, financial modelling is an activity, a task requiring skills. Once people have the ability to structure the model, they have a better starting point from which to address the financial problems. This new book proposal intends to offer that starting point.
Theory is limited to the absolute essentials that aid understanding; thus the focus with this new book is very practical - this is "how-to-do-it", showing best practice, and is illustrated with many practical worked examples.
Puntos claves
Puntos claves
* Practical financial modelling- all the essentials in one book
* How-to approach, with numerous worked examples
* Explains the techniques and functions of Excel most use in financial modelling and budgeting
* How-to approach, with numerous worked examples
* Explains the techniques and functions of Excel most use in financial modelling and budgeting
De interès para
De interès para
Financial professionals whose work involves complex spreadsheets and financial models. This includes investment bankers, commercial banks, accountancy firms, property firms, public sector including local government and healthcare, PFI/PPP enterprises, financial managers and financially literate general managers.
Índice
Índice
Context: Introduction; Definitions; Descriptions; Common approaches; Structure; Inputs; Workings; Outputs; Variations; Support; Documentation; Navigation; Content: Formulae; Range names; Corkscrews; Masks and switches; Recalculation; Circularities; Functions; Logical; Lookup; Financial; Other; Custom; Quality control: Audit; Audit sheet; Structural checks; Arithmetical checks; Financial checks; Model Use; Grouping; Data validation and Dropdown lists; Conditional and custom formats; Sensitivity analysis; Reporting - Reports, Charting, Printing; Automation; Macros; Appendix; Keyboard shortcuts; References; Further information; index.
Detalles del producto
Detalles del producto
- Edición: 1
- Última edición
- Publicado: 15 de diciembre de 2004
- Idioma: Inglés
Sobre el autor
Sobre el autor
JS
Jonathan Swan
Jonathan Swan's work has encompassed a range of consultancy and development assignments with investment banks and others in the City and throughout Europe. He is currently Director of Training at Operis Group plc, the UK's leading independent financial modelling consultancy.
Afiliaciones y experiencia
Operis TRG Limited, London, UK