Presentation is loading. Please wait.

Presentation is loading. Please wait.

Cash Flow Analysis with Excel

Similar presentations


Presentation on theme: "Cash Flow Analysis with Excel"— Presentation transcript:

1 Cash Flow Analysis with Excel
Introduction to Cash Flow Analysis with Excel TREC Approved CE 6 hours Provider #9907 Course #31545 WORKSHOP DESCRIPTION Cash flow analysis is used to estimate the value of income producing properties and what investors use to determine if an asset is a good investment. If you are in commercial real estate cash flow analysis knowledge is a must. Participants in this entry level workshop will learn the theory behind cash flow analysis and how to develop a basic cash flow with the use of EXCEL. This hands-on workshop requires each participant to bring a laptop with EXCEL to the class. Components of Potential Gross Income/Revenue Impact of Vacancy and Credit Loss Effective Gross Income/Revenue Components of Operating Expenses Net Operating Income Cash Flow Analysis Cap Rates Direct Capitalization Terminal Capitalization Net Present Value - NPV Internal Rate of Return - IRR Register Here DATE: Thursday- February 22, 2018 MATERIALS: $20.00 per participant LOCATION: Dallas, Texas TRAINING INVESTMENT: $495.00 TIME: 9:00 a.m. to 4:00 p.m.

2


Download ppt "Cash Flow Analysis with Excel"

Similar presentations


Ads by Google