Master Financial Analysis That Actually Works
Stop guessing at your company's financial health. Learn the practical liquidity and solvency analysis techniques that Australian finance teams use every day to make confident decisions.
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Three Core Methods We Teach
Each approach serves a different purpose, and knowing when to use which one makes all the difference in your analysis.
Current Ratio Analysis
Beyond the basic 2:1 rule everyone knows. We'll show you how seasonal businesses in Australia interpret these numbers and what red flags actually matter for different industries.
Cash Flow Timing
The real skill isn't calculating cash flow – it's predicting when cash shortages will hit and building realistic contingency plans that work in practice.
Debt Coverage Ratios
Most people calculate these wrong. Learn the variations that Australian lenders actually use and how to present your analysis in a way that builds confidence.
What You'll Actually Use This For
- Monthly Board Reports Present financial health clearly without overwhelming directors with technical jargon. Focus on trends that matter for strategic decisions.
- Bank Covenant Monitoring Stay ahead of potential breaches with early warning systems. Know exactly what your bank is watching and when to have those conversations.
- Investment Decisions Evaluate whether your company can handle new equipment purchases, expansion plans, or unexpected opportunities without creating cash problems.
- Supplier Negotiations Use solid financial analysis to negotiate better payment terms. Suppliers respect companies that understand their own financial position.

Why Our Approach Works Better
Most finance courses teach you formulas. We teach you judgment – the kind that comes from seeing these analyses work (and fail) in real Australian businesses.
Industry Context Matters
A construction company's liquidity looks completely different from a retailer's. We cover the nuances that textbooks miss but that experienced finance professionals know by heart.
Australian Market Focus
Learn how local economic conditions, seasonal patterns, and regulatory requirements affect your analysis. What works in theory doesn't always work in practice here.
Sarah Chen, Program Lead
Twenty-three years analyzing cash flows for everything from mining companies to tech startups. Sarah knows the difference between academic theory and what actually helps finance teams make better decisions. She's seen economic downturns, industry changes, and plenty of companies that looked good on paper but struggled with cash.
Her approach focuses on practical skills that work under pressure – because that's usually when you need them most.

Ready to Build Real Financial Analysis Skills?
Next Program Starts August 2025
Eight weeks of practical training with real case studies from Australian businesses. Work through actual financial statements, not made-up examples.
Small groups mean you get individual feedback on your analysis. Plus ongoing access to resources and updates as accounting standards change.
What's Included
Weekly live sessions, take-home exercises, industry-specific templates, and direct access to instructors for questions. Everything you need to start applying these skills immediately.
