Hi, I carefully read your requirements and attached job description and am confident that I can successfully complete and deliver this project.
The excel includes tools for calculating investment analysis, valuation, best (optimistic assumptions (high growth, low risk))/ worst (Worst-case scenario: pessimistic assumptions (low growth, high risk)), base case scenarios (realistic assumptions (average growth, moderate risk)), etc.
I have 12+ years of expertise in Financial Analysis, Financial Modeling, DCF, IRR, Financial Management, Cost Analysis, Forecasting, Budgeting, Business Valuation Financial Statements, Funding, market analysis, research, Advanced Excel, PowerPoint, & Pitch Dick.
Please message me for further discussion and samples.
Thank you.