DO YOU NEED TO GIVE YOUR BANK OR INVESTORS A COMPELLING FINANCIAL PRESENTATION TO RAISE CAPITAL FOR YOUR BUSINESS OR PROJECT?
DO YOU HAVE A BUSINESS PLAN BUT ARE NOT SURE HOW TO CREATE A FINANCIAL PLAN AROUND IT?
LOOK NO FURTHER!
I will create a custom cash flow model in Excel to help you assess the profitability of your investment or business. With a custom Excel model you will be able to:
- present and test key financial indicators for a new business or investment project
- assess the viability and attractiveness of an investment option based on your assumptions and expectations
- compare different investment alternatives
- visualise return data in useful charts and graphs
- include cash flow forecasts in a business plan or application for a loan or funding
- visualise and extract key performance indicators including IRR, ROI, equity multiple, dividend, payback period etc.
***PLEASE CONTACT ME BEFORE PLACING THE ORDER. THE BASIC GIG IS FOR A SIMPLE THREE-VARIABLE MODEL (INITIAL INVESTMENT, ANNUAL INCOME, ANNUAL EXPENSES). FOR MORE COMPLEX MODELS I CAN PREPARE A CUSTOM OFFER BASED ON YOUR SPECIFIC REQUIREMENTS***