aratgoranzeus Logo

aratgoranzeus

Master Financial Analysis Through Real-World Practice

Our comprehensive program takes you from spreadsheet basics to sophisticated valuation models used by professional analysts across Australia's financial sector.

Start Your Journey in September 2025

Your Learning Journey: From Foundation to Expertise

Phase 1 - Foundation

Financial Statement Mastery

You'll start by dissecting real Australian company reports. We use cases from Woolworths, BHP, and Commonwealth Bank to show how balance sheets tell stories about business health. No theory without practice — every concept gets tested on actual data.

Phase 2 - Application

Ratio Analysis & Industry Benchmarking

Here's where things get interesting. You'll compare mining giants like Fortescue against Rio Tinto, learning why some ratios matter more in different sectors. We built our curriculum around mistakes we've seen analysts make in the real world.

Phase 3 - Advanced

Valuation Models & Cash Flow Forecasting

This is where most courses fall short — we actually teach you to build DCF models that work. You'll value a mid-cap Australian stock from scratch, learning to spot the assumptions that make or break investment decisions.

Phase 4 - Integration

Portfolio Construction & Risk Assessment

The final piece brings everything together. You'll build a diversified portfolio using your analysis skills, understanding how individual stock research fits into broader investment strategy. This mirrors how analysts actually work in fund management.

12-Month Comprehensive Program

Real Analysis Skills, Not Just Theory

We designed this program around a simple truth: you can't learn financial analysis by memorizing formulas. You need hands-on experience with messy, real-world data and the guidance to make sense of it all.

  • Monthly case studies using current ASX-listed companies
  • Access to professional-grade financial databases
  • Small group workshops with working analysts
  • Portfolio simulation with real market conditions
  • Industry networking events in Melbourne and Sydney
Get Program Details
Professional financial analyst working with data and charts on multiple monitors

Program Information by Category

Program Structure

  • 12-month duration with flexible weekend scheduling
  • Monthly intensive workshops plus weekly online sessions
  • Self-paced study materials with mentor check-ins
  • Industry guest speakers from major Australian firms
  • Capstone project presenting to investment professionals

Prerequisites & Enrollment

  • Basic spreadsheet skills and comfort with numbers
  • No prior finance experience required — we start from fundamentals
  • Applications open March 2025 for September intake
  • Limited to 25 participants per cohort for personalized attention
  • Interview process focuses on commitment rather than background

Technical Resources

  • Professional Bloomberg Terminal access for research projects
  • Custom Excel templates built by practicing analysts
  • Historical data sets from 20+ years of Australian market performance
  • Cloud-based collaboration platform for group work
  • Industry-standard valuation software training included

Support & Career Services

  • One-on-one mentorship with experienced analysts
  • Career transition support and portfolio development
  • Alumni network spanning major Australian financial institutions
  • Resume review and interview preparation for finance roles
  • Ongoing access to program materials and updates

Learn From Practitioners Who've Been There

Portrait of Hendrik Vos, Senior Program Director

Hendrik Vos

Senior Program Director

Spent twelve years at Macquarie analyzing infrastructure deals worth over billion. Hendrik built our case study library from real transactions he worked on. His approach: "Every number tells a story, but you need to know which questions to ask."

Portrait of Aleksandr Petrov, Lead Technical Instructor

Aleksandr Petrov

Lead Technical Instructor

Before joining our team, Aleksandr managed equity research at ANZ covering the materials sector. He's the one who'll teach you to build those DCF models that actually work in practice. His students say he has a gift for explaining complex concepts through simple analogies. What sets Aleksandr apart is his focus on practical application — every model he teaches comes from real deals he's analyzed. He believes the best way to learn valuation is to make mistakes in a safe environment, then understand why those mistakes happened.