Master Financial Modeling Like a Pro
Learn the advanced techniques that transform raw data into powerful business insights. Our comprehensive program teaches you to build models that actually work in the real world.
Explore Our ProgramOur Proven Teaching Method
We don't just teach formulas — we teach thinking. Our approach combines theoretical foundations with hands-on practice using real market data from Taiwan's financial sector.
Each student works with actual case studies from local banks, investment firms, and corporations. You'll learn to spot patterns, identify risks, and build models that withstand market volatility.
What makes us different: We focus on practical application over academic theory. Every model you build has real-world relevance and immediate applicability to your career.

Quantifiable Learning Outcomes
Here's what our graduates typically achieve within 8-12 months of completing our program:
Our 4-Phase Learning Journey
Foundation Building
Master the fundamentals of financial statement analysis, ratio calculations, and data validation. Learn to work with messy, real-world data and clean it effectively.
Advanced Techniques
Dive into DCF models, sensitivity analysis, and scenario planning. Build your first comprehensive company valuation model using actual market data.
Specialized Applications
Learn industry-specific modeling techniques for banking, real estate, and technology sectors. Master Monte Carlo simulations and risk assessment frameworks.
Professional Integration
Complete a capstone project using live market data. Present your analysis to industry professionals and receive detailed feedback on your work.

Why Our Approach Works
Traditional finance courses teach you to memorize formulas. We teach you to think like an analyst. Our methodology emphasizes pattern recognition, logical reasoning, and practical problem-solving.
- Work with actual financial statements from Taiwan Stock Exchange companies
- Build models that account for local regulatory requirements and market conditions
- Learn from instructors with active experience in Taiwan's financial sector
- Practice with scenarios based on real merger, acquisition, and investment decisions
- Master both Excel and Python-based modeling techniques
Program Structure & Timeline
Our next cohort begins in September 2025, with weekend and evening options available
Core Curriculum
Comprehensive training in financial modeling fundamentals, advanced Excel techniques, and industry-standard practices. Includes access to professional-grade financial databases.
6 months intensiveSpecialized Tracks
Choose from Banking & Credit Risk, Corporate Finance & M&A, or Investment Analysis tracks. Each track includes specific case studies and industry connections.
3 months additionalWhat You'll Actually Learn
Beyond the technical skills, you'll develop the analytical mindset that separates exceptional analysts from the rest.
- Build three-statement models that automatically balance and update
- Create sensitivity tables that reveal key value drivers
- Design scenario analysis frameworks for strategic planning
- Master LBO models and credit analysis techniques
- Develop risk assessment models for portfolio management
- Learn to present complex financial data clearly and persuasively

Ready to Transform Your Analytical Skills?
Join our September 2025 cohort and learn financial modeling techniques that will advance your career. Limited spots available for personalized instruction.