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Analyze Financial Models: Scenarios and Sensitivity · LearnSpace
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Analyze Financial Models: Scenarios and Sensitivity

Курс от Coursera
Средний≈ 3.2 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Analyze Financial Models: Scenarios and Sensitivity is an intermediate course designed for financial analysts, FP&A professionals, and investment professionals who need to move beyond static financial models. In today's volatile economic environment, relying on a single forecast is risky. This course provides the tools to build resilient, dynamic models that account for uncertainty, empowering you to make strategic decisions with confidence. You will learn to systematically stress-test your financial models using scenario and sensitivity analysis in Microsoft Excel. Through expert-led screencasts and hands-on activities, you will master tools such as the Scenario Manager, build one- and two-way data tables, and create powerful visualizations, such as tornado charts, to pinpoint which variables pose the greatest risks. The course culminates in an assignment in which you will analyze a real-world business case and deliver a concise, data-driven recommendation to stakeholders, demonstrating your ability to translate complex analysis into an actionable business strategy. Please note: A solid foundation in financial modelling concepts and proficiency in using Microsoft Excel for financial analysis are required to get the most out of this course.

Навыки, которые вы освоите

Financial AnalysisMicrosoft ExcelStrategic Decision-MakingAnalysisPresentationsFinancial ModelingRisk ModelingFinancial ForecastingStrategic ThinkingScenario TestingFinancial DataBusiness AnalysisRisk ManagementSpreadsheet SoftwareForecastingCase StudiesData-Driven Decision-MakingData PresentationRisk Analysis

Программа курса

2 модулей · 15 учебных материалов

01Foundations of Scenario Analysis7 материалов
Course Introduction: Navigating UncertaintyDIALOGUEBeyond the Crystal Ball: Why Great Forecasters Plan for a Range of FuturesВидеоUnderstanding Scenario AnalysisЧтениеDefining and Building Scenarios in ExcelВидео

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Преподаватель курса

Analyze Financial Models: Scenarios and Sensitivity
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Обучение на Coursera

≈ 3.2 ч

2 модулей

Язык: Английский

Субтитры: Арабский, Французский, Итальянский, Бразильский португальский, Корейский, Немецкий, Пушту, Индонезийский, Испанский, Дари, Японский

Часть программы вашего университета
Step-by-Step Guide to Using Scenario ManagerЧтение
Hands-On Learning: Building Your First Scenario AnalysisЗадание
Knowledge Check: Scenario Analysis ConceptsЗадание
02Mastering Sensitivity Analysis and Strategic Synthesis8 материалов
Stakeholder Crossroads: Which Risk Matters Most?DIALOGUEPinpointing Risk: The Role of Sensitivity AnalysisЧтениеBuilding One-Way and Two-Way Data Tables in ExcelВидеоVisualizing Impact: Creating Tornado ChartsЧтениеFrom Data Table to Tornado ChartВидеоHands-On Learning: Identifying Key Drivers with Sensitivity AnalysisЗаданиеDefending Your AnalysisDIALOGUEFinancial Analysis Toolkit and Executive BriefЗадание