Master Financial Scenario Modeling
Build expertise in advanced financial forecasting through hands-on projects, real market data analysis, and personalized mentorship from industry professionals
Apply for Fall 2025 ProgramFlexible Learning That Fits Your Schedule
We've designed our program around working professionals. Whether you're managing client portfolios during market hours or traveling for business meetings, you can maintain consistent progress.
Each module adapts to your learning style. Some students prefer deep-dive weekend sessions, while others work better with short daily practices. Our system tracks your progress and adjusts the pace accordingly.
Self-Paced Modules
Access core content anytime. Complete assignments when your schedule allows, with flexible deadlines that work around your professional commitments.
Live Workshop Sessions
Join interactive modeling sessions every Tuesday and Thursday evening. Miss one? Every session is recorded for later review.
Peer Collaboration
Work with fellow professionals on realistic scenarios. Share insights, challenge assumptions, and learn from different industry perspectives.
One-on-One Mentorship
Monthly sessions with experienced modelers. Get feedback on your projects and guidance on applying techniques to your specific industry challenges.
Proven Learning Outcomes
Our graduates report significant improvements in their analytical capabilities and professional confidence. Here's what recent cohorts have achieved:
Typical Learning Journey
Weeks 1-3
Weeks 4-8
Weeks 9-12
Ongoing
Learn from Active Practitioners
Our instructors aren't just teachers – they're working professionals who use these modeling techniques daily in their consulting practices and corporate roles.
Dimitar Petrov
Dimitar spent eight years building scenario models for multinational banks before transitioning to consulting. He's helped over 200 companies improve their forecasting accuracy. His practical approach focuses on models that actually work in real business environments, not just academic theory.
Elena Stoeva
Elena brings 12 years of experience in risk scenario development. She currently leads stress testing initiatives for a major European investment firm while teaching our advanced modules.
Mariya Georgiev
Mariya specializes in merger and acquisition modeling. She guides students through complex multi-scenario analysis and helps them understand how different assumptions impact outcomes.
Ready to Start Learning?
Our next cohort begins September 15, 2025. The program runs for 12 weeks with ongoing support available after completion.
Initial Consultation
We'll discuss your current experience level and professional goals. This helps us customize your learning path and connect you with the most relevant project opportunities.
Program Preparation
Receive access to foundational materials and basic modeling tools. Complete a short assessment so we can group you with peers at similar experience levels.
Start Your Journey
Join your cohort for the program kickoff. Meet your mentor, connect with fellow participants, and begin working on your first scenario model.
Limited Spots Available
We maintain small cohort sizes to ensure personalized attention. Only 24 spots remain for our September 2025 program.