External Source

How To Build A Forecasting Model In Excel (fp&a)

2016 19:23
Synopsis
Learn how to build a rolling 12-month cash flow forecast model in Excel in our Financial Planning & Analysis (FP&A) course.
Download Options
Choose a download method below. All links open in new tabs.
Service Features Action
SaveFrom
MP4 & MP3 • HD Quality • Browser Extension Available
Download
Security Notice: These are third-party services. We recommend using antivirus software and being cautious of pop-up ads.