I develop 5-10 years discounted cash flow models in Excel that will include macroeconomic inputs, cost of capital or WACC estimation, revenue projections, P&L, Cash Flow, and balance sheet. Also I include sensitivity analysis in all my models and I can develop alternative scenarios on demand. Regarding my background, I am an experienced financial analyst, former Financial Advisor with approx. 2 years of experience in a leading Latin American Advisory Firm. Extensive experience in: - business valuation, including cash flow based (Income Approach) and comparables-based valuation) (Market Approach. Strong experience in building financial models in Excel. - financial modelling, including merger models and business plans,