Master Financial Model Building

Build robust financial models that drive real business decisions. Our hands-on approach helps you develop the analytical skills that matter in today's finance industry.

Explore Learning Program

Real-World Financial Modeling

We teach financial modeling the way it's actually practiced in industry. No theoretical fluff – just the tools and techniques professionals use every day to build models that stand up to scrutiny.

  • Advanced Excel modeling techniques for complex financial structures
  • Scenario analysis and sensitivity testing methodologies
  • Cash flow forecasting and valuation model construction
  • Risk assessment frameworks and stress testing protocols
  • Model documentation and presentation best practices
Financial modeling workspace showing spreadsheets and analytical tools

Progressive Skill Development

1

Foundation Building

Master the fundamentals of financial statement analysis and basic modeling principles. Build confidence with core Excel functions and financial concepts.

2

Advanced Techniques

Develop sophisticated modeling skills including dynamic formulas, scenario planning, and complex valuation methodologies used by industry professionals.

3

Portfolio Projects

Apply your skills to realistic business cases. Build a portfolio of models that demonstrate your capability to potential employers or clients.

Learn from Industry Veterans

Our instructors bring decades of real-world experience from investment banking, corporate finance, and consulting. They've built the models that mattered when millions were on the line.

Practical Application

Every lesson connects to real business scenarios. You'll work with actual data sets and face the same challenges professionals encounter daily.

Individual Mentorship

Get personalized feedback on your models. Our instructors review your work and help you develop the analytical thinking that separates experts from beginners.

Professional instructor portrait

Raynard Kellogg

Former VP at Deutsche Bank
15 years in corporate finance
CFA Charter holder

Comprehensive Curriculum Structure

Financial Statement Modeling

Build integrated three-statement models from scratch. Learn to link income statements, balance sheets, and cash flows in dynamic models that update automatically.

Duration: 6 weeks

Valuation Methods

Master DCF, comparable company analysis, and precedent transactions. Build models that investment professionals actually use for M&A and investment decisions.

Duration: 8 weeks

Scenario & Risk Analysis

Develop models that handle uncertainty. Create sensitivity tables, Monte Carlo simulations, and stress tests that help decision-makers understand potential outcomes.

Duration: 4 weeks

Build Models That Matter

Working on theoretical exercises gets old quickly. That's why our program centers around real business cases with actual data and genuine constraints.

  • Energy sector financial models using actual company data
  • M&A analysis models with realistic transaction structures
  • Project finance models for infrastructure investments
  • LBO models with multiple financing scenarios
Complex financial modeling spreadsheet display

Program Information

Our next cohort begins in September 2025. The program runs for 18 weeks with both part-time evening and weekend options available.

Schedule Options

Part-time evening sessions (6-9 PM)
Weekend intensive format
Flexible scheduling for working professionals

Class Structure

Small cohorts (max 12 students)
Individual project mentorship
Industry guest speakers