Financial Modelling Webinar 2.0: Transport, Logistics & Infrastructure
📅 21 August 2025 | ⏱ 11:00 am onwards
Fee: INR 9,999/-
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:
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. | Topic | Description |
| 1 | Welcome & Agenda Overview | Quick intro to session, speaker, audience level, and flow |
| 2 | Recap: Financial Modelling Basics | IRR, NPV, DSCR, Capex/Opex explained with definitions and examples |
| 3 | Model Introduction | Walk through the base model’s structure, key inputs: volume, tariff, costs, timelines, capex/opex |
| 4 | Scenario & Sensitivity Analysis | Explain difference, real use cases, and dynamic model response |
| 5 | Monte Carlo Simulation | Explain distributions, random sampling, risks in infra projects. Show NORM.INV (RAND (), μ, σ) or TRIANG.INV based simulation applied to cost or traffic assumptions |
| 6 | Valuation in Infra – Theory | DCF, terminal value, WACC, equity vs debt cash flows (no calculations). |
| 7 | Stress Testing the Model | Apply scenario + simulation outcomes together, interpret IRR/NPV/DSCR impact |
| 8 | Best Practices in Modelling | Tips: error checks, modular design, audit trail, sensitivity switch, naming conventions |
| 9 | Summary and Closing Remarks | Recap 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.
Let us prepare ourselves for taking better decisions. Sign up now.
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