Forecasting Financial Performance
Demonstrate capabilities to use modeling skills with Excel for forecasting and other financial management applications.
Calculate and project free cash flows for companies and potential investments.
Explain how to use financial forecasting to estimate future financing requirements for a company.
Demonstrate the ability to formulate a financing strategy for a company.
Be able to explain how a firm’s operating strategies and financial policies are consistent with current and forecasted economic conditions and government fiscal and monetary policies.