tonerivolqa
Advanced Financial Modeling Excellence
Build sophisticated financial models that drive strategic decisions. Our comprehensive programs combine theoretical foundations with hands-on experience using real market data and industry-standard tools.
Request Course InformationEach program addresses specific industry needs, from fundamental valuation techniques to advanced risk modeling. Classes meet weekly with optional intensive workshops.
Master DCF modeling, scenario analysis, and capital structure optimization through practical case studies
Learn equity research methodologies, comparable company analysis, and merger modeling techniques
Apply quantitative methods for risk assessment, stress testing, and portfolio optimization strategies
Choose the format that works with your schedule. All programs include the same comprehensive curriculum with varying time commitments and interaction levels.
Perfect for working professionals. Interactive sessions with immediate feedback on assignments and peer collaboration opportunities.
Immersive full-day sessions covering complete modules. Ideal for those preferring concentrated learning blocks with hands-on practice.
Complete flexibility with structured milestones. Includes video lectures, interactive exercises, and monthly check-ins with instructors.
Applications open in March 2025 for our August cohort. Early enrollment includes bonus preparatory materials and priority access to course resources.
Program Director & Senior Instructor
Former investment banking director with 15 years experience at major Australian firms. Specializes in energy sector valuations and has taught corporate finance at University of Sydney.
Quantitative Finance Specialist
"I love seeing that moment when complex financial concepts click for students. The collaborative environment really helps - people learn differently, and peer discussions often provide the breakthrough someone needs."
Marcus brings 12 years of experience from hedge fund and asset management roles. He focuses on making quantitative methods accessible and practical for real-world applications. His background includes risk modeling for pension funds and developing trading algorithms.