Completed from United Kingdom
What an enthusiastic and inspiring experience! Финансовое Моделирование gave me the exact skills I needed to build robust scenario‑based financial models for my consultancy work. The real‑world case studies—especially the one on a UK energy firm—showed me how to integrate sensitivity analysis directly into the model. The downloadable Excel workbooks were top‑quality and the instructor’s feedback was prompt and insightful. I can now confidently present detailed forecasts to senior stakeholders, and the course has become a cornerstone of my professional toolkit.
The Финансовое Моделирование course exceeded my expectations. The curriculum was tightly aligned with my goal of mastering discounted cash flow (DCF) analysis for corporate valuation. I especially appreciated the step‑by‑step Excel templates that allowed me to build a full‑featured financial model for a hypothetical acquisition. The supplemental video lectures on Monte Carlo simulation gave me practical tools to assess risk, which I immediately applied in a client project. Course materials were up‑to‑date and clearly organized, making it easy to reference key concepts. Overall, the learning experience was professional and highly relevant, and I feel fully equipped to deliver financial models with confidence.
Adorei o curso Финансовое Моделирование! Eu queria aprender a criar modelos financeiros que realmente funcionem no dia a dia, e o conteúdo entregou exatamente isso. As aulas práticas de VBA me ajudaram a automatizar planilhas, e o módulo de análise de risco me deu ideias para avaliar startups brasileiras. Os materiais são claros, com exemplos reais do mercado latino‑americano, o que facilitou muito a aplicação. Saí do curso já usando o modelo de projeção de fluxo de caixa em um negócio próprio, e estou muito satisfeito com o resultado.
The Финансовое Моделирование program was exceptionally detailed and thorough. My learning goal was to combine traditional Excel modeling with Python for advanced analytics, and the curriculum covered both areas comprehensively. I learned to construct a three‑statement model, perform Monte Carlo simulations using NumPy, and visualize results with Matplotlib—all within the same project. The course materials included well‑commented code snippets and a repository of sample datasets, which I used to complete a capstone project on valuation of an Indian telecom company. The instructional design was logical, the resources were up‑to‑date, and the overall experience left me fully prepared for complex financial analysis.