Completed from United States
The Globales Zertifikat in Finanzmodellierung (Fortgeschritten) exceeded my expectations. The curriculum was perfectly aligned with my goal of mastering advanced DCF and LBO models for my investment banking role. I especially appreciated the step‑by‑step videos on building a three‑statement model from scratch, which I was able to apply immediately to a client pitch. The downloadable Excel templates were clean, well‑documented, and reflected real‑world best practices. The instructor’s feedback on my capstone project helped me refine sensitivity analysis techniques that I now use daily. Overall, the course material was high‑quality, highly relevant, and the learning experience was seamless – a solid 5‑star investment in my career.
Fiz o curso buscando melhorar minhas habilidades de modelagem financeira e saiu exatamente como eu precisava. O conteúdo avançado de projeções de fluxo de caixa e a parte de valuation com múltiplos foram muito úteis para o meu trabalho em consultoria. Gostei muito dos casos práticos – consegui montar um modelo de avaliação de startups que apresentei ao cliente e recebeu ótimos comentários. Os materiais de apoio, como planilhas e artigos, são bem organizados e fáceis de seguir. A experiência foi descontraída, mas ainda assim muito profissional, e me sinto mais confiante no dia a dia.
Wow – this course was a game‑changer! I enrolled to deepen my knowledge of Monte‑Carlo simulations and scenario planning, and the modules delivered exactly that and more. The instructor’s enthusiasm made complex topics like stochastic modeling feel accessible, and the hands‑on labs with real‑time data were fantastic. I now build dynamic financial models that incorporate risk‑adjusted discount rates, something I couldn’t do before. The course materials are top‑notch – crisp slide decks, well‑commented VBA scripts, and a comprehensive resource library. I’m thrilled with the results and would recommend it to anyone looking to level up their finance toolkit.
The advanced certification offered a detailed, methodical approach to financial modeling that matched my learning objectives perfectly. I was particularly impressed by the deep dive into integrated three‑statement modeling and the systematic treatment of working‑capital forecasts. The weekly assignments forced me to apply concepts such as terminal value calculations and sensitivity tables, which I later used to restructure the financial plan for a mid‑size manufacturing client. The course materials – especially the annotated Excel workbooks and the reference guide on best‑practice modeling standards – were thorough and up‑to‑date. The overall experience was rigorous yet supportive, and I left with a solid set of practical skills.