Scenario and Sensitivity Analysis in Excel - Financial Modeling

Created by: Tim Vipond

Produced in 2017

icon
Course Description

This advanced financial modeling course will teach you how to perform Excel sensitivity analysis with a focus on practical applications for professionals working in investment banking, equity research, financial planning & analysis (FP&A), and finance functions. The tutorial goes step by step through all the formulas and functions required to perform the analysis in Excel from scratch.

icon
Instructor Details

Tim Vipond

Beginning in 2005 Tim Vipond was an active participant in the capital markets with a wide range of experience spanning investment banking, investment management, and corporate development. He has significant transaction experience at global banks (CIBC, Scotia), public companies (Goldcorp), and private companies (Shoes.com) working on mergers, acquisitions, divestitures, and capital raising.Tim has a BA from Dartmouth College (Hanover, NH) and an MBA from the Sauder School of Business (Vancouver, BC). He is passionate about learning, teaching, and financial modeling, all of which he gets to do on a daily basis at CFI.

Read More

icon
Reviews

0

0 total reviews

5 star 4 star 3 star 2 star 1 star
0% Complete
0% Complete
0% Complete
0% Complete
0% Complete
0% 0% 0% 0% 0%