I will create a financial model in Excel which help you assess the profitability of your investment or business. This model includes: · Preparation of pro-forma financial statements · Present and test key financial indicators for a new business or investment project · Assess the viability and attractiveness of an investment option based on your assumptions and expectations · Compare different investment alternatives · Visualize return data in useful charts and graphs · Include cash flow forecasts in a business plan · Visualize and extract key performance indicators including IRR, ROI, payback period etc.