how to do PF Income Statement for merger analysis

Hi, I'm currently a 2nd year in banking and interviewing for various corporate development roles but have limited modeling experience because in an industry group. For a case study, I'm asked to model a PF Income Statement of a company of my choice with the Company with accretion / dilution analysis and cost synergies, does anyone have any tips on how to get started or resources for learning how to do so?

Much appreciated!

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