The main purpose of the model is to allows user to easily compare the financial performance result from one period to the next or between actual and budget without having to look at multiple financial statements.
This information is the business intelligence decision makers use for determining future business decisions, and to make changes to steer your company towards more profitability and efficiency,
Financials and investors can easily look at the variance column to pinpoint the reason behind the changes,
The model provides an extensive financial analysis comparison and has designed to be useful tools for beginners and advanced financial professionals.
The user can change the fiscal year and current month by choosing the selection boxes in P&L Trend? sheet under column B,
Very simple to use, the user only needs to fill the green cells in the green tabs and the outputs are updated instantly.
So a quick overview of the model, in the contents sheet you can see the structure of the model and by clicking on any of the headlines will automatically redirected to the relevant sheet.
Key inputs in the green tabs
Update the general info the orange tab
Identify the fiscal year by choosing the selection box in the P&L Trend? tab under column B, row 3
Select the current month on monthly basis by choosing the selection box in the P&L Trend? tab under column B, row 5.
All cells in green are input cells.
You can find the green cells in the green tabs only
You will get the outcome in the dark blue tabs
You can read the instruction in the light blue tab.
Key outcome in the dark blue tabs.
The inputs in the green cells will dynamically flow into the following below:
-3 financial statements by month
-Monthly ratios trend
-P&L Actual vs LYSP and budget for the current month
-P&L Actual vs LYSP and budget year to date
-P&L Actual vs LYSP and budget for the current quarter by choosing the selection box under column B,row5
-P&L full year vs previous year and budget
-P&L comparison for the last 4 quarters by choosing the selection box under column B, row 5
-Balance sheet comparison actual current period vs last year same period and budget
-Cash flow comparison for the current month
-Cash flow comparison year to date
-Ratios comparison for the last 4 quarters by choosing the selection box under column B, row 5
-Strategical plan for 10 year
-Business valuation and analysis
Conclusion and customization:
Highly versatile, very sophisticated financial template and friendly user