Master Corporate Finance Analysis
Build advanced financial modeling skills and analytical frameworks that Australian corporates actually use. Our program connects theory with real-world applications through case studies from ASX-listed companies.
Explore Program Details
Analytical Frameworks That Drive Results
We focus on the methodologies that senior analysts rely on daily. Each framework is taught through practical application using current market data.
DCF Modeling with Sensitivity Analysis
Master multi-scenario valuation models including probability-weighted outcomes. Learn to build models that account for commodity price volatility and regulatory changes specific to Australian markets.
Comparable Company Analysis
Develop expertise in peer selection methodology and multiple adjustments. Work with ASX data to understand sector-specific valuation metrics and their limitations in smaller market environments.
Credit Risk Assessment
Analyze covenant structures and default probability modeling. Focus on Australian corporate bond markets and understand how resource sector cyclicality impacts credit metrics.


Where This Training Takes You
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Senior Financial Analyst roles in Australia's Big Four banks and major corporates
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Investment banking analyst positions focusing on natural resources and infrastructure
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Corporate development roles in ASX-listed companies across mining, agriculture, and technology sectors
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Portfolio management and research analyst positions in Australian fund management
The program completely changed how I approach financial analysis. Within eight months of completing the coursework, I moved from a junior analyst role to leading M&A due diligence projects at a mid-tier investment bank. The frameworks taught here are exactly what we use for real client work.