Hi,
I can assist you with creating a comprehensive Excel-based financial model that will project profit and loss, balance sheet accounts, and include the ability to link to ratio analysis. By utilizing your historical financial statements (Income Statements, Balance Sheets, and Cash Flow Statements), I will develop a user-friendly model that provides clear, actionable projections while maintaining accuracy and clarity.
Since you already have an existing Excel model for financial analysis and ratios, I will ensure that the new projections integrate seamlessly with your existing work. The model will be designed to meet the specific needs of your SME, focusing on simplicity and practicality without introducing unnecessary complexity.
Key features of the model will include:
Projected P&L, Balance Sheet, and Cash Flow accounts.
A user-friendly interface to adjust assumptions.
Integrated ratio analysis linked to the financial statements.
Clear, readable formatting and dashboards for easy data interpretation.
If you could share the existing model you have, along with any assumptions or growth rates you would like me to consider, I can begin the process right away.
Looking forward to working with you!
Best regards,
Aman