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Learn how to build a rolling 12-month cash flow forecast model in Excel in our Financial Planning & Analysis (FP&A) course. This course will teach you to build a cash flow model from scratch, complete with assumptions, financials, supporting schedules, and charts. Enroll in the full course to earn your certificate and advance your career: http://courses.corporatefinanceinstit... Chapters: 00:00 - Introduction 00:47 - Key Learning Objectives 02:50 - Assumptions 04:54 - Historical 10:59 - Income Statement 14:12 - Charting 17:43 - Review About Corporate Finance Institute: CFI is a leading global provider of online financial modeling and valuation courses for financial analysts. Our programs and certifications have been delivered to thousands of individuals at the world's top universities, investment banks, accounting firms, and operating companies. By taking our courses, you can expect to learn industry-leading best practices from professional Wall Street trainers. Our courses are extremely practical, with step-by-step instructions to help you become a first-class financial analyst. Explore CFI courses: https://courses.corporatefinanceinsti... Join us on social media: / corporate-finance-institute-cfi / corporatefinanceinstitute.cfi / corporatefinanceinstitute #Excel #Forecasting