Chapter 1: A Financial Projection Model
Chapter 2: Best Practices
Chapter 3: Setting the Stage
Chapter 4: The Model Building Toolbox: F Keys and Ranges
Chapter 5: The Toolbox
Chapter 6: Accounting in Modeling
Chapter 7: Building a Pilot Model
Chapter 8: Circular References and Iterative Calculations
Chapter 9: Variations on Balancing
Chapter 10: The Cash Sweep and Interest Calculations
Chapter 11: Reorganizing the Model
Chapter 12: Scenarios and Other Tips
Chapter 13: Ratios
Chapter 14: Forecasting Guidelines
Chapter 15: Discounted Cash Flow Valution
Chapter 16: Using VBA for Balancing
Appendix
About the Author