Загрузка страницы

Cash Flow Budgeting - How to do a 5 year cash flow budget in excel

http://www.corporatefinanceacademy.com/​​

In Corporate Finance forecasting (also called planning or budgeting) is an important responsibility, especially in FP&A functions. Forecasting is tied to planning the strategic direction of a company and helps to lay out what the future looks like. This video dives into how to forecast the balance sheet.

If you missed it, you can see the income statement forecast here:
https://www.youtube.com/watch?v=6FMPZCMoAKY

and our balance sheet forecast here:
https://www.youtube.com/watch?v=EZiQV8XCaqo

Please be sure to subscribe to our channel!

Also, be sure to head to our website and sign-up for our our mailing list, more details coming soon!
http://www.corporatefinanceacademy.com/​
0:00​​ Intro to forecasting
1:08​​ CFOA - Net Income and Depreciation
1:52​​ CFOA - Working Capital
3:50​​ Cash Flow from Investing Activities
4:35 Cash Flow from Financing Activities
5:11​​ Summary and Conclusion

Видео Cash Flow Budgeting - How to do a 5 year cash flow budget in excel канала Corporate Finance Academy
Показать
Комментарии отсутствуют
Введите заголовок:

Введите адрес ссылки:

Введите адрес видео с YouTube:

Зарегистрируйтесь или войдите с
Информация о видео
3 мая 2021 г. 5:55:23
00:07:30
Яндекс.Метрика