Financial Analysis Mastery Program
Build expertise in Australian market analysis through hands-on learning and real-world case studies starting September 2025
Your Learning Journey
Our structured approach takes you from foundational concepts to advanced analysis techniques over 18 months
Market Fundamentals
Understanding Australian financial markets, regulatory frameworks, and economic indicators that drive investment decisions.
6 weeksData Analysis Tools
Mastering Excel, Python basics, and specialized financial software used by Australian investment firms.
8 weeksCompany Valuation
Learning DCF models, comparable analysis, and sector-specific valuation methods through ASX case studies.
10 weeksPortfolio Strategy
Risk assessment, asset allocation, and building investment recommendations for different client profiles.
8 weeksReal-World Projects
Working on actual market scenarios with mentorship from industry professionals and peer collaboration.
12 weeksIndustry Integration
Networking events, guest lectures, and optional internship placement support with partner organizations.
6 weeksWhat Makes Our Approach Different
- Live market data integration in every lesson
- Small cohorts of 12-15 students for personalized attention
- Weekly one-on-one mentoring sessions
- Access to Bloomberg Terminal training
- Real client project collaboration opportunities
- Evening and weekend schedule options for working professionals
- Lifetime access to updated course materials
- Alumni network spanning major Australian financial institutions

Learning Categories
Each area builds essential skills needed for modern financial analysis roles
Technical Analysis
Chart patterns, technical indicators, and quantitative methods used by Australian trading desks and research teams.
Corporate Finance
M&A modeling, capital structure analysis, and financial statement interpretation for ASX-listed companies.
Investment Strategy
Portfolio construction, risk management, and client presentation skills for wealth management roles.
240
Graduates since 2019
89%
Career advancement within 2 years
15
Industry partner firms
4.8
Average student rating
Marcus Lindberg
Senior Portfolio Manager
15 years managing institutional portfolios at major Australian superannuation funds. Specializes in fixed income and alternative investments.
Elena Kowalski
Equity Research Director
Former sell-side analyst covering mining and energy sectors. Published over 200 research reports and winner of StarMine accuracy rankings.
Ahmed Patel
Risk Management Specialist
Built risk frameworks for tier-1 investment banks. Expertise in derivatives, credit risk, and regulatory compliance across APAC markets.
Sophie Brennan
Fintech Innovation Lead
Technology background in algorithmic trading and robo-advisory platforms. Bridges traditional finance with emerging fintech solutions.

Ready to Start Your Journey?
Applications for our September 2025 cohort open in March. Early applications receive priority consideration and mentorship matching.
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