<p/><br></br><p><b> Book Synopsis </b></p></br></br><b>Risk analysis has become critical to modern financial planning</b> <p><i>Financial Forecasting, Analysis and Modelling</i> provides a complete framework of long-term financial forecasts in a practical and accessible way, helping finance professionals include uncertainty in their planning and budgeting process. With thorough coverage of financial statement simulation models and clear, concise implementation instruction, this book guides readers step-by-step through the entire projection plan development process. Readers learn the tools, techniques, and special considerations that increase accuracy and smooth the workflow, and develop a more robust analysis process that improves financial strategy. The companion website provides a complete operational model that can be customised to develop financial projections or a range of other key financial measures, giving readers an immediately-applicable tool to facilitate effective decision-making.</p> <p>In the aftermath of the recent financial crisis, the need for experienced financial modelling professionals has steadily increased as organisations rush to adjust to economic volatility and uncertainty. This book provides the deeper level of understanding needed to develop stronger financial planning, with techniques tailored to real-life situations.</p> <ul> <li>Develop long-term projection plans using Excel</li> <li>Use appropriate models to develop a more proactive strategy</li> <li>Apply risk and uncertainty projections more accurately</li> <li>Master the Excel Scenario Manager, Sensitivity Analysis, Monte Carlo Simulation, and more</li> </ul> <p>Risk plays a larger role in financial planning than ever before, and possible outcomes must be measured before decisions are made. Uncertainty has become a critical component in financial planning, and accuracy demands it be used appropriately. With special focus on uncertainty in modelling and planning, <i>Financial Forecasting, Analysis and Modelling</i> is a comprehensive guide to the mechanics of modern finance.</p><p/><br></br><p><b> From the Back Cover </b></p></br></br><p>In today's uncertain economy, companies need to evaluate their level of risk by making informed decisions by using proper financial models that incorporate the possibilities of alternative outcomes.</p> <p><i>Financial Forecasting, Analysis, and Modelling</i> provides a complete framework for creating reliable long-term financial forecasts that is written in practical and accessible terms. The book includes thorough coverage of financial statement simulation models and clear, concise implementation instruction that gives finance professionals a step-by-step guide through the projection plan development process.</p> <p>This comprehensive resource offers a wealth of tools, techniques, and strategies that are designed to increase accuracy and make the workflow process easier whilst helping to develop a more robust analysis process that improves financial strategy. The book's companion website (www.wiley.com/go/Samonas) includes an operational model that can be tailored to develop financial projections or a number of other important financial measures. The website is a key resource for helping professionals make immediate and effective decisions.</p> <p>As the author explains, risk is playing a more central role in financial planning than ever before, and possible outcomes must be measured before decisions are made. Uncertainty has become a critical component in financial planning, and accuracy demands it be used appropriately. With special focus on uncertainty in modelling and planning, <i>Financial Forecasting, Analysis, and Modelling</i> is a comprehensive guide to the fundamentals of modern finance.</p> <p><i>Financial Forecasting, Analysis, and Modelling</i> gives financial modelers, financial planning & analysis managers, credit officers to business owners and entrepreneurs a vital resource for meeting the challenges of today's volatile economy.</p><p/><br></br><p><b> About the Author </b></p></br></br><p><b>MICHAEL SAMONAS</b> is a finance professional with extensive experience in Financial Planning, Analysis and Modelling. He is currently the Group CFO of SIDMA S.A, a member of Viohalco Group of companies. He has worked in the past for various multinationals including Vodafone S.A. and Hellenic Telecommunications Organization conducting a range of models for business planning, valuations, mergers, projects and data analysis. For a number of years Michael was instructor at the School of Business & Economics of the University of Laverne, Athens Campus.</p>
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