- 1. Create the excel worksheet to estimate the project cash flows and calculate the project NPV and IRR. Your worksheet should follow the format of the Cash flow estimation spreadsheet sample that appears below. I have upload a spreadsheet(Half of the data is incorrect).
2.Write a short memo to the CFO to provide your recommendation on the project. Explain the justification for your recommendation based on your analysis in.(I also give you a small sample in the dock)