: Provides step-by-step solutions for modelling performance analysis, cash flows, and company valuations.
is a practitioner's guide written by Alastair Day that focuses on using Microsoft Excel to build robust, professional-grade corporate finance models. Rather than being a basic Excel tutorial, it serves as a compendium of methods designed to help finance professionals and students produce more accurate results faster. Core Focus Areas Mastering Financial Modelling in Microsoft Excel
The book is structured to take readers from foundational design to complex financial applications: Core Focus Areas The book is structured to
: Explains how to test scenarios, avoid costly mistakes, and perform risk, sensitivity, and optimization analysis. Key Topics Covered avoid costly mistakes
: Covers spreadsheet methodologies, processes, and techniques for checking and improving existing models.
According to the table of contents found on O'Reilly, the book covers a wide range of financial applications including: