Reactive Publishing
CapEx & ROI Modeling for FP&A is a practical, advanced guide for finance professionals responsible for evaluating, prioritizing, and defending capital investment decisions in complex organizations.
Designed for FP&A leaders, senior analysts, and finance managers, this book goes far beyond basic IRR and payback calculations. It shows how to build robust, decision-grade capital models that integrate strategy, risk, operational constraints, and post-investment accountability.
You’ll learn how to structure capital requests that survive executive scrutiny, rank competing investments using multi-factor scoring frameworks, and ensure capital is allocated where it generates durable enterprise value-not just spreadsheet optics.
This book covers:
Advanced CapEx modeling techniques for large and recurring investment programs
ROI, NPV, IRR, and economic profit modeling under real-world uncertainty
Investment scoring frameworks that combine financial, strategic, and risk dimensions
Scenario, sensitivity, and downside risk analysis for capital decisions
Portfolio-level capital allocation and funding prioritization
Governance models for CapEx approval, stage gates, and re-forecasting
Post-investment review frameworks to measure realized vs. promised returns
How FP&A teams close the loop between strategy, execution, and capital discipline
Rather than treating CapEx as a one-time approval exercise, this book reframes capital allocation as a continuous system, connecting forecasting, performance management, and long-term value creation.
Whether you support manufacturing, retail, infrastructure, technology, or asset-heavy businesses, CapEx & ROI Modeling for FP&A gives you the frameworks, models, and judgment required to become a trusted capital allocation partner to leadership.