Financial Modelling Courses
Commercial real estate valuation is a skillset that is always in demand. Many valuers lack the technical abilities to produce these on a spreadsheet, instead heavily relying on third-party, black box software to produce values.
The Commercial Property Valuation in Excel course will provide the participants a very valuable skillset, a pre-requisite for many commercial property valuation jobs.
Understanding the income statement, balance sheet and cash flow statement and how they fit together is key to unlocking more complex concepts like valuation, ratio analysis, accounting shenanigans and equity investing.
Delegates will learn how the income statement, balance sheet and cash flow statement fit together and be able to produce integrated financial statement.
An exclusive programme offered by Cambridge Finance and in line with the Royal Institution of Chartered Surveyors (RICS) financial modelling competency, this course covers the main topics related to real estate financial modelling in Excel, leading up to the Cambridge Finance Certificate in Real Estate Financial Modelling.
Construct a robust real estate financial model from scratch and use it to assess the financial risk and return profile of an investment, income-producing real estate asset.
This course is aimed at banking and lending analysts for real estate, investment surveyors, real estate finance professionals and property consultants seeking a best practice approach to building robust real estate financial models.
Construct a robust real estate financial model to assess the financial risk and return profile of development, re-development and refurbishment projects.
This course is aimed at banking and lending analysts for real estate, investment surveyors, real estate finance professionals and property consultants seeking to build robust real estate development models free of errors.
Construct a robust real estate financial model from scratch and use it to assess the financial risk and return profile of a geared investment project with debt finance techniques.
This course is aimed at financial analysts working for for banks, real estate consultancies and property consultancies seeking a best practice approach to building robust real estate debt models.
Add real estate risk calculations to any financial model and use them to advise clients, lenders, joint-venture partners and other stakeholders on the risk-adjusted returns of real estate projects.
This course is aimed at all real estate consultants and analysts seeking to become an expert in real estate finance and financial modelling.
Our In-House Training Solution for your Real Estate Team
Turn your real estate team into true property finance and investment experts with our bespoke training courses. We help you pinpoint capability building opportunities and deploy your human resources to achieve and sustain outstanding results.
If you are applying for an job in a real estate investment firm or bank, the financial modelling test tends to be the first hurdle in any interviewing process for such jobs (after they read and approve your CV, of course); after all financial modelling is an integral part of the responsibilities of any finance professional.