Skip to main content

Free Unlevered Cash Flows Toolkit

$295.00
Availability:
Downloadable Resources, Instant Access
Adding to cart… The item has been added

What does the Free Unlevered Cash Flows Toolkit include?

The Free Unlevered Cash Flows Toolkit includes 60+ downloadable files delivered by email within 24 business hours, comprising 12 Excel (XLSX) templates for projecting unlevered cash flows, a 58-page implementation guide (PDF), industry benchmark datasets, DCF integration modules, audit-compliant documentation templates, and structured playbooks across 11 functional sections, including a Platinum Tier master roadmap, anti-pattern catalogue, and outcomes dashboard.

Are your financial models vulnerable to audit findings, valuation disputes, or capital allocation errors because they fail to accurately isolate operating performance from financing decisions? Without a standardised approach to calculating Free Unlevered Cash Flows, you risk flawed DCF valuations, rejected investment proposals, and strategic missteps, especially under regulatory scrutiny or M&A due diligence. The Free Unlevered Cash Flows Toolkit is a comprehensive digital playbook that delivers the exact templates, frameworks, and audit-ready methodologies used by top-tier financial analysts and valuation professionals to calculate, validate, and report unlevered cash flows with precision and confidence.

What You Receive

  • 12 fully customisable Excel (XLSX) templates for projecting free unlevered cash flows across base, upside, and downside scenarios, enabling you to build defensible, reconciliation-ready models in under 60 minutes
  • 58-page step-by-step implementation guide (PDF) with annotated formulas, data sourcing instructions, and reconciliation checks, so you can eliminate modelling errors and ensure GAAP and IFRS compliance
  • Standardised EBIT to NOPAT conversion checklist (XLSX), ensuring consistent tax adjustments and operating profit calculations across all valuation exercises
  • Working capital change calculator with historical trend analysis (XLSX), allowing accurate forecasting of inventory, accounts receivable, and accounts payable impacts
  • Capital expenditure tracking and depreciation reconciliation template (XLSX), so you can precisely determine net investment in fixed assets
  • Discounted cash flow (DCF) integration module (XLSX), directly linking unlevered cash flow projections to enterprise valuation using WACC-based discounting frameworks
  • Industry benchmark reference dataset (XLSX) covering 20 sectors with 5-year averages, helping you validate assumptions and strengthen investor confidence in your projections
  • Assumption documentation template (Word format), designed to satisfy internal audit, peer review, or regulatory validation requirements
  • Scenario analysis library (PDF) with 15 real-world case studies, showing how to adapt the toolkit for M&A due diligence, capital planning, and investor reporting
  • 00_Platinum_Tier master implementation roadmap (XLSX), providing a 90-day rollout plan for embedding unlevered cash flow standards across your organisation
  • 00_Platinum_Tier anti-pattern catalogue (XLSX), identifying 27 common modelling errors and how to correct them before audit or review
  • 00_Platinum_Tier outcomes dashboard (XLSX), enabling real-time tracking of model accuracy, assumption drift, and valuation sensitivity
  • 01_Getting_Started onboarding guide (PDF), ensuring immediate productivity with a clear path through all 60+ deliverables
  • 02_Self_Assessment_and_Diagnostics toolkit (XLSX, PDF), including a 45-question maturity assessment to benchmark your current cash flow modelling capability
  • 03_Requirements_and_Goal_Setting templates (PDF, XLSX), including stakeholder alignment worksheets and KPI-setting frameworks
  • 04_Models_and_Frameworks reference pack (PDF), detailing the differences between free cash flow to equity (FCFE), free cash flow to the firm (FCFF), and unlevered cash flow under IFRS and GAAP
  • 06_Processes_and_Execution playbooks (PDF), with RACI matrices, interview scripts, and model validation checklists, critical for audit defence
  • 08_Quality_and_Governance policy templates (PDF), including model review protocols and version control standards
  • 10_Advanced_Topics scenario library (PDF), covering complex cases like distressed restructuring, private equity roll-ups, and cross-border valuation
  • All deliverables are delivered as downloadable files via email within 24 business hours, with no subscriptions, no logins, and no platform dependency

How This Helps You

You gain immediate access to a battle-tested, audit-compliant framework that eliminates guesswork in financial modelling. With these tools, you can produce investor-grade unlevered cash flow projections in under an hour, reducing the risk of costly errors in M&A transactions, capital budgeting, or valuation disputes. By standardising on methodologies aligned with IFRS and GAAP, you strengthen the defensibility of your models during external audits or board reviews. Without this toolkit, you remain exposed to inconsistent assumptions, undetected modelling flaws, and the real business consequences: rejected proposals, regulatory pushback, and loss of credibility with executives and investors. This is not just a template pack, it’s a professional-grade implementation system that ensures you deliver accurate, transparent, and justifiable financial analysis every time.

Who Is This For?

  • Financial analysts preparing DCF models for investment banking, equity research, or corporate development
  • Valuation specialists in accounting firms, consulting houses, or private equity groups
  • Corporate finance managers responsible for capital allocation, budgeting, or strategic planning
  • FP&A leads building enterprise-wide financial models with audit-ready consistency
  • Due diligence teams in M&A transactions requiring clean separation of operating vs financing cash flows
  • Internal audit professionals verifying the integrity of cash flow forecasts
  • Finance directors preparing board-level valuation reports or investor presentations

Choosing this toolkit isn’t just about saving time, it’s about eliminating risk in high-stakes financial decisions. When your models are built on a foundation trusted by top-tier firms and aligned with global accounting standards, you position yourself as a credible, results-driven professional. Download the Free Unlevered Cash Flows Toolkit today and ensure your next valuation is accurate, defensible, and audit-ready.