This course is a comprehensive, step-by-step learning journey into the practical construction and interpretation of financial models, designed around the real-world case of Big Books Corp. Participants will learn how to analyze historical data, calculate key financial drivers, and forecast segment-wise revenues, expenses, and cash flows. The course guides learners through constructing income statements, balance sheets, and cash flow statements, progressing into evaluating capital expenditures, depreciation schedules, and working capital cycles.

Financial Modeling & Valuation: Analyze & Forecast

位教师:EDUCBA
访问权限由 Coursera Learning Team 提供
5,652 人已注册
您将学到什么
Build and interpret income statements, balance sheets, and cash flows in Excel.
Compute valuation metrics including NPV, FCFF, FCFE, and DCF models.
Apply relative valuation techniques and assess peer company performance.
您将获得的技能
- Operating Expense
- Financial Modeling
- Income Statement
- Cash Flow Forecasting
- Capital Expenditure
- Cash Flows
- Asset Management
- Revenue Management
- Expense Management
- Working Capital
- Revenue Forecasting
- Financial Analysis
- Financial Data
- Financial Forecasting
- Depreciation
- Financial Statements
- Business Valuation
- Business Metrics
您将学习的工具
要了解的详细信息

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24 项作业
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学生评论
- 5 stars
76.84%
- 4 stars
22.10%
- 3 stars
0%
- 2 stars
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- 1 star
1.05%
显示 3/95 个
已于 Oct 17, 2025审阅
The lessons were comprehensive and insightful. I learned to create detailed financial models and forecast company performance with confidence. Truly a career-booster!
已于 Dec 26, 2025审阅
Really enjoyed the logical flow and practical focus. The forecast drivers and normalization adjustments were explained better here than anywhere else I’ve seen.
已于 Dec 30, 2025审阅
This course stands out for its focus on strategic valuation interpretation. Excellent pacing and truly applicable skills for finance professionals.






