In this course, we are going to learn how to build a financial model using Microsoft Excel. Financial models underpin strategic and business planning, solicitations for financing, budgeting and forecasting, business valuations, cash budgeting, capital budgeting, and so many other corporate finance purposes. In this course, we are going to concentrate on the preparation of a financial projection of the income statement, balance sheet, and statement of cash flow. We will use an approach that keeps model integrity and credibility top of mind throughout development.