All the precision of financial modeling – and none of the complexity. Evidence-based decision making is only as good as the external evidence on which it is based. Financial models uncover potential risks on a company’s balance sheet, but the complexity of these instruments has limited their effectiveness. Now, Mastering Financial Modeling offers a simplified method for building the fast and accurate financial models serious evidence based decision makers need. What sets this practical guide apart is its “learning-on-the-job” approach.