In this Module we will build in excel a forecasted Income Statement, forecasted Balance sheet and forecasted cash flow statement based on assumptions given.
Key learning outcomes:
1. Forecast revenue to EBITDA
2. Forecast working capital and PP&E
3. Forecast capital structure
4. Build cash flow statement
5. Review and audit the model
Important Notes for Sanjay Saraf Sir's CA Final SFM Students:
Students, who have studied or are currently studying from Sanjay Saraf Sir, can avail preferential pricing for Module 3- 3 Statement Forecast Model by applying Coupon Code: SSEIMOD3
To avail the preferential pricing benefit, you need to create your account or Log on ULURN using the same email ID that was provided by you at the time of registration for SSEI.
Further, once you have subscribed to the module, you would be required to compulsorily submit a scan of the payment receipt or admit card issued to you at the time of registration for Sanjay Saraf Sir's coaching.
In case of non-submission of documents as above or in case any discrepancy is found with respect to documents submitted on account of availing this preferential pricing, ULURN and SSEI will be within their rights to stop your classes of Module 3- 3 Statement Forecast Model and forfeit the amount paid.