10-Year Business Model & Forecasting

Job ID: 38626703

Budget: $250 – $750 USD

I'm seeking a finance expert to create a comprehensive business model and detailed forecasting over a 10-year period for a taxable c-corporation with primary business of making private equity investments. The primary objective is to forecast cash flow and returns to investors based on specific assumptions, which include reinvestment of the proceeds from exits from portfolio companies, rather than paying those proceeds back to investors as dividends.

Key Requirements:
- Forecasting use of investment proceeds, cash flow, tax obligations based on deduction of operating expenses and accumulated capital losses, growth of total asset value and returns to investors
- Detailed projections over a 10-year timeframe.
- Incorporation of specific assumptions into the model.
- Comprehensive analysis of potential risk factors.

The forecasting model needs to include:
- Income Statements
- Balance Sheets
- Cash Flow Statements

Ideal Skills:
- Expertise in finance and investment forecasting.
- Extensive experience with business model creation, including maximizing deductions to minimize tax obligations..
- Proficiency in constructing detailed, multi-year financial projections.