Build Financial Analysis Skills That Actually Matter
Learn to read balance sheets, interpret cash flows, and make informed decisions. Our autumn 2025 program focuses on real-world analysis techniques used by professionals every day.
Get Program DetailsWhat You'll Actually Learn
We skip the fluff and focus on skills that matter. You'll work with real financial statements, practice ratio analysis, and learn to spot red flags that indicate potential problems.
- Financial statement fundamentals and what numbers actually reveal
- Ratio analysis techniques professionals use daily
- Cash flow interpretation and liquidity assessment
- Building simple valuation models from scratch
- Pattern recognition in financial data
Classes start September 2025. We meet twice weekly over six months, with plenty of time for practice between sessions.

How The Program Works
Four modules over six months. Each one builds on what came before, so you develop skills progressively rather than drowning in theory.
Reading Financial Statements
Start with the basics. Learn what balance sheets, income statements, and cash flow statements actually tell you. Practice reading real company reports.
6 weeksRatio Analysis Methods
Calculate and interpret key financial ratios. Understand what they mean in context and how to compare companies effectively.
6 weeksCash Flow Assessment
Follow the money. Learn why cash flow matters more than profit in many situations, and how to spot potential liquidity issues early.
6 weeksBasic Valuation Techniques
Build simple models to estimate company value. Understand the assumptions behind different approaches and their limitations.
6 weeksWho Teaches The Program
Four practitioners who've spent years analyzing financials for real companies. They bring actual experience, not just textbook theory.

Torsten Eklund
Financial Analysis
Spent twelve years reviewing company financials for investment decisions. Knows what matters and what doesn't.

Casper Lindholm
Ratio Analysis
Previously worked in credit assessment. Teaches practical ratio interpretation used in lending decisions.

Viktor Bergström
Cash Flow Methods
Background in corporate treasury. Focuses on liquidity management and working capital analysis.

Mikael Sørensen
Valuation Models
Built valuation models for M&A transactions. Teaches realistic approaches that work in practice.
Program Timeline
Here's how enrollment works and when things happen. Applications open in June, with classes starting in September 2025.
Submit Your Application
Tell us about your background and why you want to learn financial analysis. No finance degree required, but basic math skills help.
June 1 – July 15, 2025Application Review
We review applications and conduct brief interviews. We're looking for people who'll actually use these skills, not just collect certificates.
July 16 – August 10, 2025Confirm Your Spot
Accepted applicants receive enrollment details. We cap class size at 24 students to maintain quality interaction and feedback.
August 11 – August 31, 2025Start Learning
Classes begin with fundamentals. Expect homework between sessions and real case studies throughout the program.
September 8, 2025