Master Financial Modeling in Excel - Building the Balance Sheet (Part 2)

Опубликовано: 30 Июль 2026
на канале: Value Driven Analytics Training
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Welcome to Part 2 of our 'series! In this video, we'll continue exploring essential Excel features by extending our financial modeling use case. We'll build a comprehensive balance sheet to forecast a company's financial health with and without an investment, just like an investment banker. Learn how to manage and analyze assets, liabilities, and owner’s equity. Plus, we'll cover key concepts such as current assets, accounts receivable, debt, and paid-in capital, and understand the relationship between the income statement and the balance sheet. Don't miss this crucial step in mastering financial modeling in Excel!

Link to part 1:    • Master Financial Modeling in Excel - Inves...  
Link to part 3:    • Master Financial Modeling in Excel - Inves...  

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KEYWORDS:

excel financial modeling, financial modeling, excel tutorial, balance sheet, assets and liabilities, owner's equity, current assets, accounts receivable, investment banking, income statement, financial forecasting, business finance, excel for beginners

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CHAPTERS:
0:00 financial modeling in Excel

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