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Master Financial Modeling Like a Pro

Transform your analytical skills with advanced modeling techniques used by top financial analysts across Australia. Learn valuation methods, forecasting models, and scenario analysis that drive real business decisions.

Building Models That Actually Work

Financial modeling isn't just about spreadsheets—it's about creating tools that help businesses make smarter decisions. Our approach focuses on practical skills you'll use every day as an analyst.

DCF Mastery

Build discounted cash flow models that accurately value companies and projects

Scenario Planning

Create flexible models that handle multiple business scenarios and sensitivity analysis

Industry Focus

Learn sector-specific modeling approaches for mining, tech, healthcare, and finance

Risk Assessment

Integrate risk factors and uncertainty into your financial projections

Your Path to Modeling Excellence

Follow a structured learning path that takes you from basic concepts to advanced modeling techniques used by senior analysts at major firms.

Foundation Phase

Financial Statement Analysis

Start with understanding how financial statements connect. Learn to identify key drivers, normalize earnings, and spot red flags that experienced analysts catch immediately. This foundation makes everything else possible.

Building Phase

Model Construction

Build your first complete financial model from scratch. Learn proper structuring, create dynamic formulas, and implement error-checking that prevents costly mistakes. You'll understand why layout matters as much as accuracy.

Advanced Phase

Valuation Techniques

Master multiple valuation approaches including comparable analysis, precedent transactions, and advanced DCF methods. Learn when to use each technique and how to defend your valuations to senior stakeholders.

Expert Phase

Real-World Application

Work on complex scenarios that mirror actual analyst work. Handle merger models, LBO analysis, and credit risk assessment. Build the confidence to present findings and recommendations with conviction.

What Makes Our Training Different

We focus on practical skills that actually matter in your day-to-day work. Each topic addresses real challenges that analysts face, with techniques you can apply immediately.

Error Prevention Strategies

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Learn systematic approaches to model testing and validation. We teach you how to build checks and balances that catch errors before they reach senior management. This includes balance sheet reconciliation techniques, circular reference handling, and stress-testing your assumptions under different market conditions.

Industry-Specific Nuances

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Different sectors require different modeling approaches. Mining companies need resource reserve modeling, tech companies require customer acquisition cost analysis, and banks need credit loss provisions. We cover these specialized techniques that generic training programs miss.

Presentation and Communication

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The best models are useless if you can't communicate the results effectively. Learn how to create executive summaries, build compelling charts, and present complex financial analysis in ways that non-financial stakeholders understand and trust.

Sarah Mitchell

Senior Financial Analyst & Lead Instructor

With over 12 years of experience at major investment banks and consulting firms, Sarah has built valuation models for deals worth over billion. She specializes in complex merger analysis and has taught modeling techniques to analysts at three of the Big Four accounting firms.

Experience
12+ Years
Deals Analyzed
B+ Value
Specialization
M&A Modeling
Meet Our Team

Advanced Techniques for Complex Analysis

Go beyond basic modeling to master the sophisticated techniques that set senior analysts apart. These advanced methods help you tackle the most challenging financial analysis projects with confidence.

Monte Carlo simulation for risk modeling and probability analysis of different business outcomes
Leveraged buyout modeling with complex capital structures and multiple exit scenarios
Credit analysis and debt capacity modeling for lending and investment decisions
Options pricing models and derivative valuation for sophisticated investment strategies
Sum-of-the-parts analysis for complex conglomerates and multi-division companies
Start Your Training