Advanced Financial Analysis Courses Starting Late 2025

Master sophisticated analytical techniques for real-world financial decision-making

We've spent the past eighteen months developing courses that actually prepare you for the complexity of modern financial analysis. These aren't rushed webinars or recycled content. Each programme runs over several months because that's how long it takes to genuinely understand advanced valuation methods, risk modeling, and strategic financial planning. Our September and November intakes give you time to plan properly while we finalize partnerships with Australian finance firms who'll provide real case studies.

Course Schedule for 2025-2026

Each programme is built around practical application rather than theoretical frameworks alone. You'll work with actual financial statements, market data, and business scenarios.

Core Analysis

Advanced Financial Modeling & Valuation

September 15, 2025 - February 28, 2026

This programme goes beyond basic DCF models. You'll build integrated three-statement models, conduct sensitivity analyses, and learn to spot the assumptions that actually matter in business valuations.

  • Duration: 24 weeks
  • Format: Evening sessions + weekend workshops
  • Commitment: 8-10 hours weekly
  • Prerequisites: Intermediate Excel, basic accounting knowledge
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Risk Management

Quantitative Risk Analysis for Financial Professionals

October 6, 2025 - March 20, 2026

Risk management has become increasingly quantitative. This course covers Monte Carlo simulations, VaR calculations, and stress testing methodologies that compliance teams and portfolio managers actually use.

  • Duration: 22 weeks
  • Format: Online with monthly in-person labs
  • Commitment: 7-9 hours weekly
  • Prerequisites: Statistics background, financial markets knowledge
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Strategic Finance

Corporate Financial Strategy & Decision Analysis

November 10, 2025 - April 30, 2026

Senior finance roles require understanding how financial decisions align with broader business strategy. This programme examines capital structure decisions, M&A evaluation, and investment prioritization frameworks.

  • Duration: 26 weeks
  • Format: Hybrid (online theory + in-person case workshops)
  • Commitment: 9-12 hours weekly
  • Prerequisites: 3+ years finance experience
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Who You'll Learn From

Our instructors have spent years in finance roles before teaching. They bring practical experience from treasury departments, investment firms, and corporate finance teams across Australia.

Instructor Stellan Bergkvist teaching advanced financial modeling

Stellan Bergkvist

Financial Modeling Specialist

Spent twelve years building valuation models for mid-market M&A transactions before transitioning to education. His modeling approach focuses on making complex financial structures understandable without oversimplifying.

Risk analyst Anouk Verbeke leading quantitative finance course

Anouk Verbeke

Quantitative Risk Analyst

Previously worked in credit risk teams for two major Australian banks. She developed internal training programmes on stress testing before joining us to teach broader risk analysis methodologies.

Corporate finance director Siobhan Rafferty teaching strategic finance

Siobhan Rafferty

Corporate Finance Director

Currently serves as CFO for a mid-sized manufacturing firm while teaching part-time. Her courses draw from actual strategic decisions she's evaluated, giving students insight into how theory meets boardroom reality.

How These Courses Actually Work

We don't believe in passive learning for technical skills. Each course combines structured content with hands-on application, and you'll spend more time working through problems than listening to lectures.

  • Real financial datasets from Australian companies (anonymized appropriately) rather than textbook examples
  • Weekly problem sets that mirror actual analytical tasks you'd encounter professionally
  • Peer review sessions where you critique each other's analytical approaches
  • Industry guest speakers who share specific challenges they've faced
  • Capstone projects developed with partner firms who provide genuine business questions

The workload is substantial because competency in advanced analysis requires repetition and feedback. You'll make mistakes in a controlled environment where they don't cost anyone money, which is honestly when the best learning happens.

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Financial analysis workshop with participants reviewing complex financial models on screens