Advanced Financial Modeling Certification

Build expertise in DCF analysis, scenario modeling, and advanced Excel techniques through our comprehensive 8-month certification program starting September 2025.

Your Learning Journey

This certification takes you from foundational concepts to advanced financial modeling expertise. Each module builds systematically on previous knowledge, ensuring you develop both theoretical understanding and practical skills.

Our approach combines structured learning with hands-on practice using real market data and case studies from various industries. You'll work with the same tools and techniques used by professionals at major investment firms.

8 Months Duration
6 Core Modules
15 Case Studies
3 Portfolio Projects
1

Financial Statement Analysis & Excel Mastery

6 weeks • September - October 2025

Start with comprehensive financial statement analysis and advanced Excel techniques. You'll learn to deconstruct income statements, balance sheets, and cash flow statements while mastering complex Excel functions, pivot tables, and data visualization methods.

Financial Statement Analysis
Advanced Excel Functions
Data Visualization
Ratio Analysis

Assessment Methods

Excel Proficiency Test Case Study Analysis Peer Review Exercise
2

DCF Modeling & Valuation Techniques

8 weeks • November 2025 - January 2026

Build sophisticated discounted cash flow models from scratch. This intensive module covers terminal value calculations, weighted average cost of capital (WACC), sensitivity analysis, and multiple valuation approaches including comparable company analysis.

DCF Model Construction
WACC Calculations
Sensitivity Analysis
Comparable Analysis
Terminal Value Methods

Assessment Methods

Complete DCF Model Valuation Report Model Audit Exercise Presentation
3

Advanced Scenario & Monte Carlo Analysis

10 weeks • January - April 2026

Develop sophisticated scenario modeling capabilities and Monte Carlo simulation techniques. Learn to model uncertainty, create dynamic scenarios, and build robust stress testing frameworks that account for multiple variable interactions and market conditions.

Monte Carlo Simulation
Scenario Planning
Risk Assessment
Stress Testing
Dynamic Modeling
Statistical Analysis

Assessment Methods

Scenario Model Portfolio Monte Carlo Project Risk Analysis Report Final Capstone Project

Program Information

Applications for our September 2025 cohort are now open. This program requires dedication and prior experience with financial analysis or Excel proficiency.

Next Intake

September 15, 2025
24 seats available

Prerequisites

Bachelor's degree or equivalent work experience in finance or accounting

Study Format

Blended learning with weekly online sessions and monthly in-person workshops

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