Description

Book Synopsis

A hands-on guide to using Excel in the business context

First published in 2012, Using Excel for Business and Financial Modelling contains step-by-step instructions of how to solve common business problems using financial models, including downloadable Excel templates, a list of shortcuts and tons of practical tips and techniques you can apply straight away.

Whilst there are many hundreds of tools, features and functions in Excel, this book focuses on the topics most relevant to finance professionals. It covers these features in detail from a practical perspective, but also puts them in context by applying them to practical examples in the real world. Learn to create financial models to help make business decisions whilst applying modelling best practice methodology, tools and techniques.

Provides the perfect mix of practice and theory

Helps you become a DIY Excel modelling specialist

Includes updates for Excel 2019/365 and Excel for

Table of Contents

Preface xi

Chapter 1 What is Financial Modelling? 1

What’s the Difference Between a Spreadsheet and a Financial Model? 3

Types and Purposes of Financial Models 5

Tool Selection 6

What Skills Do You Need to Be a Good Financial Modeller? 17

The “Ideal” Financial Modeller 23

Summary 27

Chapter 2 Building a Model 29

Model Design 29

The Golden Rules for Model Design 31

Design Issues 32

The Workbook Anatomy of a Model 33

Project Planning Your Model 36

Model Layout Flowcharting 37

Steps to Building a Model 39

Information Requests 47

Version-Control Documentation 49

Summary 50

Chapter 3 Best-Practice Principles of Modelling 51

Document Your Assumptions 51

Linking, Not Hardcoding 52

Enter Data Only Once 53

Avoid Bad Habits 53

Use Consistent Formulas 53

Format and Label Clearly 54

Methods and Tools of Assumptions Documentation 55

Linked Dynamic Text Assumptions Documentation 62

What Makes a Good Model? 65

Summary 67

Chapter 4 Financial Modelling Techniques 69

The Problem with Excel 69

Error Avoidance Strategies 71

How Long Should a Formula Be? 76

Linking to External Files 78

Building Error Checks 81

Circular References 85

Summary 90

Chapter 5 Using Excel in Financial Modelling 91

Formulas and Functions in Excel 91

Excel Versions 94

Handy Excel Shortcuts 100

Cell Referencing Best Practices 104

Named Ranges 107

Basic Excel Functions 110

Logical Functions 114

Nesting Logical Functions 117

Summary 125

Chapter 6 Functions for Financial Modelling 127

Aggregation Functions 127

LOOKUP Functions 139

Nesting Index and Match 150

OFFSET Function 153

Regression Analysis 158

Choose Function 164

Working with Dates 165

Financial Project Evaluation Functions 171

Loan Calculations 177

Summary 183

Chapter 7 Tools for Model Display 185

Basic Formatting 185

Custom Formatting 186

Conditional Formatting 191

Sparklines 195

Bulletproofing Your Model 199

Customising the Display Settings 203

Form Controls 210

Summary 226

Chapter 8 Tools for Financial Modelling 227

Hiding Sections of a Model 227

Grouping 233

Array Formulas 234

Goal Seeking 240

Structured Reference Tables 242

PivotTables 245

Macros 254

Summary 263

Chapter 9 Common Uses of Tools in Financial Modelling 265

Escalation Methods for Modelling 265

Understanding Nominal and Effective (Real) Rates 270

Calculating a Cumulative Sum (Running Totals) 274

How to Calculate a Payback Period 275

Weighted Average Cost of Capital (WACC) 278

Building a Tiering Table 282

Modelling Depreciation Methods 286

Break-Even Analysis 295

Summary 300

Chapter 10 Model Review 301

Rebuilding an Inherited Model 301

Improving Model Performance 312

Auditing a Financial Model 317

Summary 323

Appendix: QA Log 323

Chapter 11 Stress Testing, Scenarios, and Sensitivity Analysis in Financial Modelling 325

What are the Differences Between Scenario, Sensitivity, and What-If Analyses? 326

Overview of Scenario Analysis Tools and Methods 328

Advanced Conditional Formatting 337

Comparing Scenario Methods 340

Adding Probability to a Data Table 350

Summary 351

Chapter 12 Presenting Model Output 353

Preparing an Oral Presentation for Model Results 353

Preparing a Graphic or Written Presentation for Model Results 355

Chart Types 358

Working with Charts 367

Handy Charting Hints 374

Dynamic Named Ranges 376

Charting with Two Different Axes and Chart Types 382

Bubble Charts 384

Creating a Dynamic Chart 387

Waterfall Charts 391

Summary 395

About the Author 397

About the Website 399

Index 403

Using Excel for Business and Financial Modelling

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    £56.70

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    RRP £63.00 – you save £6.30 (10%)

    Order before 4pm tomorrow for delivery by Wed 17 Jun 2026.

    A Paperback / softback by Danielle Stein Fairhurst

    1 in stock

      Trusted by thousands of customers. See 2,385+ Customer Reviews

      View other formats and editions of Using Excel for Business and Financial Modelling by Danielle Stein Fairhurst

      Publisher: John Wiley & Sons Inc
      Publication Date: 05/04/2019
      ISBN13: 9781119520382, 978-1119520382
      ISBN10: 111952038X

      Description

      Book Synopsis

      A hands-on guide to using Excel in the business context

      First published in 2012, Using Excel for Business and Financial Modelling contains step-by-step instructions of how to solve common business problems using financial models, including downloadable Excel templates, a list of shortcuts and tons of practical tips and techniques you can apply straight away.

      Whilst there are many hundreds of tools, features and functions in Excel, this book focuses on the topics most relevant to finance professionals. It covers these features in detail from a practical perspective, but also puts them in context by applying them to practical examples in the real world. Learn to create financial models to help make business decisions whilst applying modelling best practice methodology, tools and techniques.

      Provides the perfect mix of practice and theory

      Helps you become a DIY Excel modelling specialist

      Includes updates for Excel 2019/365 and Excel for

      Table of Contents

      Preface xi

      Chapter 1 What is Financial Modelling? 1

      What’s the Difference Between a Spreadsheet and a Financial Model? 3

      Types and Purposes of Financial Models 5

      Tool Selection 6

      What Skills Do You Need to Be a Good Financial Modeller? 17

      The “Ideal” Financial Modeller 23

      Summary 27

      Chapter 2 Building a Model 29

      Model Design 29

      The Golden Rules for Model Design 31

      Design Issues 32

      The Workbook Anatomy of a Model 33

      Project Planning Your Model 36

      Model Layout Flowcharting 37

      Steps to Building a Model 39

      Information Requests 47

      Version-Control Documentation 49

      Summary 50

      Chapter 3 Best-Practice Principles of Modelling 51

      Document Your Assumptions 51

      Linking, Not Hardcoding 52

      Enter Data Only Once 53

      Avoid Bad Habits 53

      Use Consistent Formulas 53

      Format and Label Clearly 54

      Methods and Tools of Assumptions Documentation 55

      Linked Dynamic Text Assumptions Documentation 62

      What Makes a Good Model? 65

      Summary 67

      Chapter 4 Financial Modelling Techniques 69

      The Problem with Excel 69

      Error Avoidance Strategies 71

      How Long Should a Formula Be? 76

      Linking to External Files 78

      Building Error Checks 81

      Circular References 85

      Summary 90

      Chapter 5 Using Excel in Financial Modelling 91

      Formulas and Functions in Excel 91

      Excel Versions 94

      Handy Excel Shortcuts 100

      Cell Referencing Best Practices 104

      Named Ranges 107

      Basic Excel Functions 110

      Logical Functions 114

      Nesting Logical Functions 117

      Summary 125

      Chapter 6 Functions for Financial Modelling 127

      Aggregation Functions 127

      LOOKUP Functions 139

      Nesting Index and Match 150

      OFFSET Function 153

      Regression Analysis 158

      Choose Function 164

      Working with Dates 165

      Financial Project Evaluation Functions 171

      Loan Calculations 177

      Summary 183

      Chapter 7 Tools for Model Display 185

      Basic Formatting 185

      Custom Formatting 186

      Conditional Formatting 191

      Sparklines 195

      Bulletproofing Your Model 199

      Customising the Display Settings 203

      Form Controls 210

      Summary 226

      Chapter 8 Tools for Financial Modelling 227

      Hiding Sections of a Model 227

      Grouping 233

      Array Formulas 234

      Goal Seeking 240

      Structured Reference Tables 242

      PivotTables 245

      Macros 254

      Summary 263

      Chapter 9 Common Uses of Tools in Financial Modelling 265

      Escalation Methods for Modelling 265

      Understanding Nominal and Effective (Real) Rates 270

      Calculating a Cumulative Sum (Running Totals) 274

      How to Calculate a Payback Period 275

      Weighted Average Cost of Capital (WACC) 278

      Building a Tiering Table 282

      Modelling Depreciation Methods 286

      Break-Even Analysis 295

      Summary 300

      Chapter 10 Model Review 301

      Rebuilding an Inherited Model 301

      Improving Model Performance 312

      Auditing a Financial Model 317

      Summary 323

      Appendix: QA Log 323

      Chapter 11 Stress Testing, Scenarios, and Sensitivity Analysis in Financial Modelling 325

      What are the Differences Between Scenario, Sensitivity, and What-If Analyses? 326

      Overview of Scenario Analysis Tools and Methods 328

      Advanced Conditional Formatting 337

      Comparing Scenario Methods 340

      Adding Probability to a Data Table 350

      Summary 351

      Chapter 12 Presenting Model Output 353

      Preparing an Oral Presentation for Model Results 353

      Preparing a Graphic or Written Presentation for Model Results 355

      Chart Types 358

      Working with Charts 367

      Handy Charting Hints 374

      Dynamic Named Ranges 376

      Charting with Two Different Axes and Chart Types 382

      Bubble Charts 384

      Creating a Dynamic Chart 387

      Waterfall Charts 391

      Summary 395

      About the Author 397

      About the Website 399

      Index 403

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