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.
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
- Forecasting
- Financial Forecasting
- Cash Flow Forecasting
- Financial Data
- Expense Management
- Business Metrics
- Operating Expense
- Financial Statements
- Capital Expenditure
- Depreciation
- Revenue Forecasting
- Financial Analysis
- Business Valuation
- Asset Management
- Equities
- Financial Statement Analysis
- Financial Modeling
- Balance Sheet
- Cash Flows
- Working Capital
要了解的详细信息

添加到您的领英档案
24 项作业
了解顶级公司的员工如何掌握热门技能

从 Finance 浏览更多内容
人们为什么选择 Coursera 来帮助自己实现职业发展

Felipe M.

Jennifer J.

Larry W.

Chaitanya A.
学生评论
- 5 stars
77.77%
- 4 stars
21.21%
- 3 stars
0%
- 2 stars
0%
- 1 star
1.01%
显示 3/99 个
已于 May 11, 2026审阅
The curriculum covers everything from historical analysis to advanced forecasting techniques. It’s a complete toolkit for anyone tasked with evaluating a company’s future potential.
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 Jan 31, 2026审阅
Building a fully-linked financial model from a blank sheet was the highlight. The course removes the mystery behind valuations and replaces it with technical mastery.










