The purpose of this workshop is to provide an understanding of financial models development. The attendant will be able to use spreadsheets to create basic business models with integrated financial statements to use for various purposes.
During the workshop we will present a case study of a startup company. The scope will be to understand the model structure in order to capture the crucial parameters of the revenue model of the company. Moreover, the attendees will be able to calculate the cash flow ability of the startup company and estimate the relevant break even point of the interest level.
Medium to Advanced MS Excel skills are required to feel comfortable.
- Apply the model development process
- Build a simple integrated financial statement model using MS Excel
- Create both direct and indirect cash-flow statements to evaluate business performance
- Evaluate key assumptions using sensitivity analysis
Workshop Language: Greek
Level: Beginner & Intermediate