Skip to main content

NYIF: M&A: Free Cash Flow (FCF) Modeling

Learn how to evaluate a company’s financial performance to determine acquisition opportunities.

M&A: Free Cash Flow (FCF) Modeling
4 weeks
1–2 hours per week
Self-paced
Progress at your own speed
Cost to Enroll
$300 USD

There is one session available:

After a course session ends, it will be archivedOpens in a new tab.
Starts Mar 28
Ends Apr 1

About this course

Skip About this course

One of the primary functions of a broker-dealer’s M&A; desk is advisory services – consulting clients as they seek to grow through M&A.;

In this course, you will learn to use the Free Cash Flow metric to evaluate acquisition opportunities. You will learn about the components of Free Cash Flow and its relationship with market value. You will also learn about the process of capital budgeting and guidelines to follow.

This course is part of the New York Institute of Finance’s popular Mergers & Acquisitions Professional Certificate program.

At a glance

  • Language: English
  • Video Transcripts: اَلْعَرَبِيَّةُ, Deutsch, English, Español, Français, हिन्दी, Bahasa Indonesia, Português, Kiswahili, తెలుగు, Türkçe, 中文
  • Associated programs:
  • Associated skills:Market Value, Mergers And Acquisitions, Capital Budgeting, Consulting, Finance

What you'll learn

Skip What you'll learn
  • Identify Free Cash Flow from Accounting Data
  • Recognize how to compare Free Cash Flow to Net Income
  • Recognize the Drivers of Free Cash Flow
  • Identify the steps to calculate Cost of Capital
  • Identify the steps to use Free Cash Flow for Capital Budgeting Decisions
  • Recognize the relationship between Free Cash Flow and Economic Value Added Value Acquisitions using Free Cash Flow
  • Recognize how to develop a Free Cash Flow approach to Incentive Compensation

Session 1: Introduction to Free Cash Flow and the Objective of the Firm

  • Lesson 1: Need for Free Cash Flow
  • Lesson 2: Understanding Free Cash Flow
  • Lesson 3: Relationship between Free Cash Flow and Market Value
  • Lesson 4: Return on Investment
  • Lesson 5: Adjusting Accounting Data to Get to Free Cash Flow
  • Lesson 6: Components of Free Cash Flow
  • Lesson 7: Show Me
  • Lesson 8: Adjustments to Net Investment
  • Class Exercise

Session 2: Components of Free Cash Flow

  • Lesson 1: Focus on Free Cash Flow
  • Lesson 2: Understanding the Components of Free Cash Flow

Session 3: Cost of Capital

  • Lesson 1: Understanding Cost of Capital
  • Lesson 2: CAPM & WACC
  • Class Exercise

Session 4: Capital Budgeting Using Free Cash Flow

  • Lesson 1: Capital Budgeting: Overview
  • Lesson 2: Guidelines for Capital Budgeting
  • Lesson 3: Q&A
  • Lesson 4: Caveats

Session 5: Modified Free Cash Flow

  • Free Cash Flow and Interim Financial Results

Session 6: Using Free Cash Flow to Evaluate Acquisition Opportunities

  • Lesson 1: Overview
  • Lesson 2: Acquisition Analysis
  • Lesson 3: Objective to add Shareholder Value
  • Lesson 4: Synergies and Integration Costs
  • Lesson 5: Q&A
  • Lesson 6: Other Metrics
  • Class Exercise
  • Lesson 7: Incentive Compensation

Session 7: Integration of Acquisitions

  • Lesson 1: Integration Best Practices
  • Lesson 2: Integration Planning

Session 8: Implementation Issues

This course is part of Mergers & Acquisitions (M&A) Professional Certificate Program

Learn more 
Expert instruction
6 skill-building courses
Self-paced
Progress at your own speed
5 months
1 - 2 hours per week

Interested in this course for your business or team?

Train your employees in the most in-demand topics, with edX For Business.