Component |
Description |
No Advanced Knowledge Required |
Users do not need to know, input, or alter any of the sheet linkages or underlying formulas. All complex calculations have been pre-programmed into the model, ensuring smooth navigation and user-friendly input fields. |
Automatic Calculations |
All mathematical computations, including cost of capital, working capital, and free cash flow, are automated. Once data is inputted, the model instantly updates key figures across projections, financial statements, and valuation scenarios, removing the need for manual calculation and minimising potential errors. |
Full Transparency and Editability |
All formulas in the model are fully visible and editable, allowing users to track calculations, understand the linking between sheets, and customise the model as needed. This ensures transparency, auditability, and adaptability for unique requirements. |
Sanity Checks for Accuracy |
Built-in sanity checks ensure that the model, particularly the balance sheet, stays in balance throughout. These checks alert users to any discrepancies, ensuring data integrity and reliable projections as you progress through the model. |
Financial Statements |
Income Statement, Cash Flow, Balance Sheet β The model includes comprehensive, automated monthly projections for the first 12 months. Users can generate precise projections, informed by key financial statements, for up to 5 years, facilitating short-term and long-term strategic planning. |
Product/Service Forecasting |
The model allows up to 10 individual products or services, with each having distinct revenue and cost forecasting capabilities. Users can set cost of sales either as a percentage of sales or on a per-unit basis, allowing granular control over profitability projections. |
High-Quality Visuals |
OverΒ high-quality graphs visually represent essential financial metrics, providing clear insights into performance trends, cash flow movements, revenue vs. expenses, product contributions, and key ratio analysis. Graphs enhance the interpretability of financial data and facilitate decision-making for stakeholders. |
Key Financial Ratios |
Comprehensive key financial ratios are calculated and displayed, aiding in a thorough assessment of financial health and performance. |
Detailed Debt Repayment |
Full debt repayment schedules are included, with monthly breakdowns of interest and principal repayments, considering the moratorium period if applicable. The model automatically updates debt repayment terms, allowing users to clearly understand long-term financial obligations and cash outflows. |
Master Input Sheets |
Funding, Depreciation, OPEX, Labour β Detailed input sheets capture specific funding sources, depreciation schedules, operational expenses, and workforce planning. |
Guided Input for Easy Navigation |
Throughout the model, each YELLOW-SHADED cell with BLUE TEXT marks an input area, guiding users on where to enter data. Next to these input cells, youβll find “Read Note” sectionsβstrategically placed helpful hints designed to provide additional guidance and clarity at every step. These notes make using the model straightforward and ensure you have the support you need without extra guesswork. |
Pre-Populated Mock Scenario |
To assist with ease of use and provide a clear understanding of the modelβs functionality, each purchased model file comes pre-populated with a mock scenario. This sample data demonstrates how the model operates in real-time, guiding users through its features and calculations. When ready to start, simply delete the BLUE TEXT in the YELLOW-SHADED input cells and replace it with your specific business dataβmaking setup quick and intuitive. |