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In an increasingly data-driven business world, financial professionals must move beyond static reporting to deliver forward-looking insights that drive strategy and growth. The Financial Planning and Analysis: Monthly Cash Flow Forecast Modelling course at London Premier Centre provides participants with the analytical and technical skills needed to build robust, dynamic financial models that support smarter decision-making.
Through a blend of theory and practical Excel-based workshops, this hands-on course demonstrates how to integrate the income statement, balance sheet, and cash flow statement into a rolling 12-month forecast model. Participants will learn to interpret key financial data, model revenues and expenses, manage working capital, and test multiple business scenarios using advanced Excel tools.
Led by seasoned finance professionals with real-world experience, the course ensures a practical understanding of how to translate financial planning into actionable insights. By the end of the training, attendees will be equipped to design transparent, accurate, and adaptable models that enhance organisational financial performance and control.