Financial Modelling Webinar 2.0: Transport, Logistics & Infrastructure

From static spreadsheets to strategic simulations — Master financial modelling for transport, logistics & infrastructure

📅 21 August 2025 | ⏱ 11:00 am onwards

Fee: INR 9,999/-

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Curious about how financial modelling is shaping smarter decisions in transport, logistics & infrastructure

Join us for an in-depth financial modelling webinar curated by experts at Forvis Mazars in India. This certification program focuses on practical application of modelling techniques across real-world infrastructure and mobility projects. From building base models to stress testing and simulations — you’ll walk away with insights that go far beyond theory.

Backed by sector insights and real-world project examples, this session delivers practical financial modelling techniques you can directly apply in your role or upcoming projects.

Why attend?

In today’s high-stakes infrastructure environment, robust financial modelling isn't just useful — it's essential. This webinar will equip you with both conceptual clarity and practical techniques.

What you’ll gain:

What you will gain infographic.png

Who should attend?

Ideal for:

  • Fresh graduates looking to enter financial modelling
  • Professionals with 1–4 years’ experience in transport, logistics & infrastructure
  • Analysts and consultants who want to enhance modelling and forecasting skills

Topics covered:

Sr. No.TopicDescription
1Welcome & Agenda OverviewQuick intro to session, speaker, audience level, and flow
2Recap: Financial Modelling BasicsIRR, NPV, DSCR, Capex/Opex explained with definitions and examples
3Model IntroductionWalk through the base model’s structure, key inputs: volume, tariff, costs, timelines, capex/opex
4Scenario & Sensitivity AnalysisExplain difference, real use cases, and dynamic model response
5Monte Carlo SimulationExplain distributions, random sampling, risks in infra projects.
Show NORM.INV (RAND (), μ, σ) or TRIANG.INV based simulation applied to cost or traffic assumptions
6Valuation in Infra – TheoryDCF, terminal value, WACC, equity vs debt cash flows (no calculations).
7Stress Testing the ModelApply scenario + simulation outcomes together, interpret IRR/NPV/DSCR impact
8Best Practices in ModellingTips: error checks, modular design, audit trail, sensitivity switch, naming conventions
9Summary and Closing RemarksRecap of key points, importance of financial modelling in making strategic infra decisions, and next steps for further learning

Missed our last webinar?
We’ve got you covered — click here  to access the previous webinar recording and catch up before joining Financial Modelling 2.0.

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