Completed from United Kingdom
I’m thrilled to share how the Certificado Global De Modelagem Financeira (Avançado) transformed my career! As a recent graduate, I needed a credential that would stand out, and Stanmore School of Business delivered. The hands‑on case study where we built a leveraged buy‑out model for a fictitious retail chain was a game‑changer – I used the same structure to impress my new employer and secured a promotion within three months. The course materials are top‑notch: crisp slide decks, real‑world datasets, and interactive quizzes that kept me engaged. I can’t recommend it enough – it’s the boost every aspiring finance professional needs!
Taking the Certificado Global De Modelagem Financeira (Avançado) at Stanmore School of Business was exactly what I needed to meet my goal of mastering advanced financial modeling for corporate finance. The curriculum covered DCF valuation, Monte‑Carlo simulations, and VBA‑driven dashboard creation. I was able to rebuild my company's three‑year projection model in just two weeks, and the new sensitivity analysis tools helped our board approve a $2 million capital raise. The video lectures were clear and the downloadable Excel workbooks were impeccably organized, making self‑study easy. Overall, the course exceeded my expectations and I feel fully equipped to lead our finance team.
Eu fiz o Certificado Global De Modelagem Financeira (Avançado) na Stanmore School of Business e adorei! Eu sempre quis entender melhor como montar modelos de fluxo de caixa para minha startup, e o curso entregou exatamente isso. As planilhas prontas que o professor compartilhou me ajudaram a montar um modelo de projeção de receitas em menos de um dia, e já consegui conversar com investidores usando os resultados. O material é bem didático, com exemplos reais do mercado brasileiro, e o suporte nos fóruns foi super rápido. Saí do curso muito mais confiante e já recomendei para meus colegas.
Completing the Certificado Global De Modelagem Financeira (Avançado) at Stanmore School of Business was a comprehensive learning journey. The program is divided into five modules: (1) Advanced Excel techniques, (2) Valuation fundamentals, (3) M&A modeling, (4) Risk analysis with Monte‑Carlo, and (5) Presentation of financial stories. In module 3, I built a full merger model that incorporated accretion/dilution analysis, which I later applied to a client project for a mid‑size manufacturing firm, resulting in a 12 % increase in projected synergies. The supplementary reading list included the latest editions of “Investment Valuation” and “Financial Modeling in Excel”, ensuring relevance. The instructor’s feedback on my final project was detailed and helped me refine my assumptions. Overall, the course provided a solid, actionable toolkit that I now use daily in my role as a financial analyst.