Visão Geral
Este curso ensina o uso do Excel para planejamento financeiro, com foco em orçamento, projeções, controle de resultados e apoio à tomada de decisão. O conteúdo aborda práticas tradicionais de planejamento financeiro aplicadas ao ambiente corporativo e pessoal.
Conteúdo Programatico
Module 1 – Financial Planning Fundamentals
- What Is Financial Planning
- Budgeting and Forecasting Concepts
- Short, Medium and Long-Term Planning
- Excel as a Planning Tool
Module 2 – Structuring Financial Data
- Organizing Financial Information
- Income and Expense Categories
- Excel Tables
- Data Standardization
Module 3 – Budget Creation in Excel
- Budget Models
- Monthly and Annual Budgets
- Fixed and Variable Expenses
- Budget Structure Best Practices
Module 4 – Financial Projections
- Revenue Projections
- Expense Forecasting
- Growth Assumptions
- Projection Scenarios
Module 5 – Scenario Analysis
- Best, Worst and Expected Scenarios
- Sensitivity Analysis
- What-If Analysis
- Decision Support
Module 6 – Cash Flow Planning
- Cash Flow Structure
- Cash Inflows and Outflows
- Liquidity Planning
- Working Capital Management
Module 7 – Financial Indicators
- Budget Performance Indicators
- Variance Analysis
- Financial Ratios
- Planning KPIs
Module 8 – Visualization and Reports
- Financial Charts
- Planning Dashboards
- Trend Analysis
- Management Reports
Module 9 – Automation and Control
- Dynamic Formulas
- Error Prevention
- Spreadsheet Protection
- Automation Best Practices
Module 10 – Financial Planning Excel Project
- Planning Model Design
- Excel Implementation
- Analysis and Review
- Final Presentation