Introduction
Through hands-on, practical instruction, you’ll learn to build complex financial models that incorporate senior and mezzanine debt, preferred returns, distribution waterfalls, promote structures, and advanced risk analysis tools such as Monte Carlo simulations and scenario testing.
The course also introduces the integration of Python and Excel to enhance the precision and scalability of your models.
If you’re ready to deepen your modelling expertise in capital structuring and return analysis, this advanced certificate is your next step.
Learning Outcomes
By the end of this course, participants will be able to:
- Build advanced project‑ and partnership‑level real estate cash flow models with confidence
- Construct and evaluate complex capital structures including senior & mezzanine debt
- Model preferred returns, promote allocations, and tiered waterfalls accurately
- Apply sensitivity, scenario, and Monte Carlo risk analysis techniques to investment models
- Interpret model outputs to support strategic investment decisions
Full Course Curriculum
Your free sample will include access to Induction and Module 1 of the course.
✔ Full access to the induction and Module 1
✔ Introduction to advanced financial modelling concepts
✔ Practical insight into waterfalls and capital structures
✔ Step-by-step guidance from industry practitioners
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