Completed from United Kingdom
Absolutely brilliant! The Modélisation Financière course gave me exactly the practical skills I needed to transition into investment banking. I loved the interactive Excel labs where we built a full‑blown three‑statement model from scratch – the step‑wise guidance made it feel like a real deal. The video lectures were energetic and the downloadable cheat‑sheets on valuation multiples were a lifesaver during exam prep. Thanks to this course I now feel equipped to tackle complex financial models with confidence and have already impressed my mentors with a pitch deck I created.
The Modélisation Financière course perfectly aligned with my goal of mastering valuation techniques for my role in corporate finance. The modules on discounted cash flow (DCF) and comparable company analysis gave me a clear, step‑by‑step framework that I could immediately apply to a live project at my firm. I especially appreciated the high‑quality Excel templates and the case study on a merger model, which helped me build a robust financial model in just a few days. The instructional videos were concise and the supplemental reading was up‑to‑date with IFRS standards. Overall, the course exceeded my expectations and I feel confident presenting complex financial models to senior leadership.
I took this course to get a practical edge for my job as an analyst and it definitely delivered. The lessons on scenario analysis and Monte Carlo simulation were super useful – I used them to forecast cash flows for a start‑up I’m advising. The course material was clear and the real‑world examples (like the LBO model) made the theory click. The only thing I’d love to see is a bit more depth on macro‑economic inputs, but overall it was a solid, hands‑on learning experience that helped me hit my learning targets.
The course was meticulously structured and catered to my ambition of mastering financial modeling for portfolio management. Detailed sections on sensitivity analysis, risk‑adjusted return calculations, and VBA automation allowed me to develop a custom model that evaluates equity and debt instruments simultaneously. The provided datasets mirrored real market conditions, which helped me test my assumptions effectively. While the pacing was intensive, the instructor’s feedback on assignments ensured I grasped each concept thoroughly. Overall, I am very satisfied with the depth of knowledge gained and the relevance of the materials to my professional growth.