General overview
The template is constructed to evaluate potential major projects or investments that would require capital budgeting before they are approved or rejected, it helps CEO, CFO and entrepreneurs to assess a prospective project’s cash flow to determine whether the potential returns that would be generated meet a sufficient target benchmark
The template allows the user to calculate the net present value (NPV), internal rate of return (IRR) and payback period from simple cash flow stream with dynamic investment decision
Inputs
Update the general info in the Front Page
Enter the investment amount, discount rate and cash flow projection in the green cells
Outcome
Net present value
Internal rate of return
Payback period
Dynamic investment decision
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