Master Financial Modeling That Actually Works
Build spreadsheets that don't break. Create models that make sense. Learn from someone who's debugged enough formulas to fill a small warehouse.
Build spreadsheets that don't break. Create models that make sense. Learn from someone who's debugged enough formulas to fill a small warehouse.
Six months of building models that work in the real world. No fluff, no theory that falls apart when you need it most.
Structure that doesn't collapse when you add new assumptions. Learn to build models that scale without becoming monsters.
Working capital that actually works. Free cash flow calculations that match reality, not textbook examples.
DCF models that don't give you six different answers depending on the weather. Comparable analysis that makes sense.
Sensitivity analysis that helps with actual decisions. Monte Carlo simulations for when life gets complicated.
LBO models, merger analysis, and credit modeling. The stuff that separates analysts from spreadsheet operators.
I've built financial models for acquisitions worth over billion. I've also seen models that cost companies millions because someone forgot to check their assumptions. After spending years fixing other people's spreadsheets, I started teaching the stuff that actually matters.
Structured learning that builds on itself. Each phase prepares you for the next, with real projects that mirror what you'll face as an analyst.
Master the basics that everyone assumes you know but nobody teaches properly. Build your first complete three-statement model from scratch.
DCF valuation that doesn't fall apart when assumptions change. Comparable company analysis using real market data, not classroom examples.
Advanced modeling techniques including LBO analysis and credit assessment. Portfolio capstone project that demonstrates everything you've learned.
Limited to 24 students. Applications open March 2025. Get the details now and reserve your spot in Australia's most practical financial modeling program.