Event Management Company Financial Model
This Financial Model is for forecasting financials of an event management company This Excel template is highly customizable and offers huge flexibility when taking account of different revenue items and expenses of an event management business
This model has 9 tabs, of which the following are included:
- Index
- Dashboard
- Assumptions
- Income Statement
- Balance Sheet
- Cash Flow Statement
- Revenue Projections
- Direct Expenses
- Depreciation Schedule
- Investments & Financing
The Dashboard tab places the information into an easily digestible format so that the user can quickly notice the year on year growth and key metrics at a quick glance.
Assumptions tabs helps you in entering various key inputs like name of locations, different types of events, their number & prices, expenses etc.
Income Statement, Balance Sheet and Cash Flow Statements are the 3 keys financial statements that helps you in forecasting profitability, financial position and cash flows. These tabs in helping whether the business is viable or not and whether funds raised will be sufficient or not.
The other tabs revenue projections, direct expenses , depreciation and investment & financial are for detailed calculations that feed into the 3 financial statements.
If you have any questions or require any guidance, feel free to reach out to me via the messenger.
This model has 9 tabs, of which the following are included:
- Index
- Dashboard
- Assumptions
- Income Statement
- Balance Sheet
- Cash Flow Statement
- Revenue Projections
- Direct Expenses
- Depreciation Schedule
- Investments & Financing
The Dashboard tab places the information into an easily digestible format so that the user can quickly notice the year on year growth and key metrics at a quick glance.
Assumptions tabs helps you in entering various key inputs like name of locations, different types of events, their number & prices, expenses etc.
Income Statement, Balance Sheet and Cash Flow Statements are the 3 keys financial statements that helps you in forecasting profitability, financial position and cash flows. These tabs in helping whether the business is viable or not and whether funds raised will be sufficient or not.
The other tabs revenue projections, direct expenses , depreciation and investment & financial are for detailed calculations that feed into the 3 financial statements.
If you have any questions or require any guidance, feel free to reach out to me via the messenger.