How to Build a Business Plan with Monte Carlo Analysis
Forecasting Free Cash Flow For Ranges of Performance Improvements In Any Business
4.33 (35 reviews)

239
students
1.5 hours
content
Nov 2021
last update
$49.99
regular price
What you will learn
You will be able to forecast the free cash flow from a business by setting levers such as sales and margin improvement, etc
You will be able to set improvement ranges - say between 5% and 15% year on year improvement in sales - and calculate the confidence in achieving any level of free cash flow in any year
You will be able to calculate the net present value of the forecast cash flows and the confidence of achieving your target.
You will be able to do all this rightaway with the Excel spreadsheet provided which performs Monte Carlo analysis with native Excel functions.
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2069877
udemy ID
12/5/2018
course created date
4/18/2020
course indexed date
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