CFI is a global financial training firm that provides extremely practical e-Learning programs and certifications to individuals at the top universities, investment banks, accounting firms and operating companies in the world.
Our courses give you practical skills, templates and tools to advance your career. We pick up where business school leaves off to teach you on-the-job aspects of corporate finance, investment banking, corporate development, FP&A, treasury, and accounting.
Course Topics: financial modeling, company valuation, discounted cash flow (DCF) analysis, merger models (M&A), sensitivity analysis, accounting fundamentals, financial statement analysis, and much more.
Career Paths: investment banking, private equity, venture capital, financial planning & analysis (FP&A), equity research, treasury, commercial banking, accounting.
Learn all the tips, tricks, shortcuts, functions and formulas you need to be an Excel power user. This course is designed specifically for Excel users who are performing professional financial analysis and financial modeling. We cover all levels - from beginner to advanced users.
Build a strong foundation in Excel for careers in:
Learn to perform professional level financial analysis of a company.
This course teaching how to analyze the:
- income statement
- balance sheet
- cash flow statement
It also teaches important ratios and metrics to evaluate the health of a business.
This course is designed for beginner to intermediate accounting and finance professionals.
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Build a dynamic Real Estate Financial Model to evaluate the investment return profile of a development project in Excel.
This course is designed for real estate development professionals, lending / banking analysts, surveyors, and anyone interested in mastering the art of building a real estate development models from scratch.
Master the art of building a financial model and valuing an eCommerce Startup. In this course you will learn to build a startup financial model from scratch complete with assumptions, financials, valuation, and output charts. We will look at how much money this business has to raise based on it's business plan and model out each year of cash flow.