

Understand the Financial Potential of Your Business
Revenue Forecasting
Cost Analysis
Profitability Analysis
Cash Flow Analysis
Estimate potential revenue based on business assumptions and market conditions.
Identify operating and project-related cost assumptions.
Evaluate projected profitability and margins.
Understand expected cash inflows, outflows and funding requirements.
ROI Analysis
NPV & IRR
Break-Even Analysis
Sensitivity Analysis
Evaluate potential return on investment.
Assess investment attractiveness using commonly used financial evaluation metrics.
Determine the approximate point at which revenue covers costs.
Test how changes in important assumptions can influence projected results.
Important Note
Financial projections are based on available information, assumptions and research. They represent analytical estimates and cannot guarantee future financial performance. This principle is consistent with the source material provided for ORASTA.
