Financial projections for new project in excel sheet

Can anyone share a financial projections of a new investment in hand in a excel sheet model.

covering the following

 

1) Revenue and cost assumptions

2) Cost of project

3) means of finance

4) Cash flow prepared based on the assumptions 

5) debt and interest shedule

6) NPV, IRR payback period etc.

 

in short a excel model which shows if one should invest in a new project or not.

 

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