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Hands-On Financial Modeling with Excel for Microsoft 365 - Second Edition

You're reading from  Hands-On Financial Modeling with Excel for Microsoft 365 - Second Edition

Product type Book
Published in Jun 2022
Publisher Packt
ISBN-13 9781803231143
Pages 346 pages
Edition 2nd Edition
Languages
Author (1):
Shmuel Oluwa Shmuel Oluwa
Profile icon Shmuel Oluwa

Table of Contents (19) Chapters

Preface Part 1 – Financial Modeling Overview
Chapter 1: An Introduction to Financial Modeling and Excel Chapter 2: Steps for Building a Financial Model Part 2 – The Use of Excel Features and Functions for Financial Modeling
Chapter 3: Formulas and Functions – Completing Modeling Tasks with a Single Formula Chapter 4: Referencing Framework in Excel Chapter 5: An Introduction to Power Query Part 3 – Building an Integrated 3-Statement Financial Model with Valuation by DCF
Chapter 6: Understanding Project and Building Assumptions Chapter 7: Asset and Debt Schedules Chapter 8: Preparing a Cash Flow Statement Chapter 9: Ratio Analysis Chapter 10: Valuation Chapter 11: Model Testing for Reasonableness and Accuracy Part 4 – Case Study
Chapter 12: Case Study 1 – Building a Model to Extract a Balance Sheet and Profit and Loss from a Trial Balance Chapter 13: Case Study 2 – Creating a Model for Capital Budgeting Other Books You May Enjoy

Cash flow from financing activities

Cash flow from financing activities will include cash generated or utilized in the following activities:

  • Increase/decrease in long term debt.
  • Increase in share capital.
  • Payment of interest on long-term debt. Again, to include this here, it must be excluded from the computation of profit for the year.

An illustration of cash flow from financing activities can be seen in Figure 8.5:

Figure 8.5 – Cash flow from financing activities

You will then aggregate the cash flows from the different sources to arrive at net cash inflow/outflow:

Figure 8.6 – Net cash flow and closing balance of cash

Prepare the cash flow statement, as usual, ending with a figure for the closing cash balance. Then, post this figure to the balance sheet as cash and cash equivalents for the projected years.

If the balance sheet now balances, this indicates that our model up to this stage is...

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