From Deal Making to Portfolio Valuations: The Role of Financial Modelling (Part 3)

A strong financial model is the foundation of a smooth and streamlined deal. This three-part series goes beyond the financial model template to explore how modelling can drive sound decision making, throughout the lifecycle of a deal, giving you confidence and protecting you from unexpected issues when it comes to executing the contracts and finalising the transaction!

Part Three: Post financial close (M&A transaction in the renewables sector)

• Recap on the cashflow model / scenario manager
• Recap on valuation metrics
• Case intro: fiction client, purpose, process etc
• Adding required functionality for valuation analysis
• Peer benchmarking
• Scenario analysis
• Selecting a discount rate
• Report writing
• Caveats

Speakers:

– Michael Michaelides, Director, Mazars (Moderator)
– Karishma Merchant, Director, Mazars
– Maria Sukumaran, Associate Director, Mazars
– Tom Brichieri-Colombi, Partner, Mazars
– John Yeldham, Head of Infrastructure Modelling, Mazars
– Neha Mehta, Financial Advisor, Mazars

Watch parts 1 & 2 now:
Part 1
Part 2



Presentation

You Might Also Like

See more

Physical Climate Risk – Can Technology Protect Assets?

OD Webinar: March 2nd, 2023

Waste-to-Energy: Sector Landscape in Asia and Beyond

OD Webinar: March 1st, 2023

Data Centre Investments in Germany – An Outlook

OD Webinar: February 23rd, 2023

The Hydrogen Economy - Is the Vision Still Relevant?

OD Webinar: February 2nd, 2023