
Why Take This Course?
In a highly volatile environment, scenario and sensitivity analysis has become an essential tool for evaluating the impact of changes in key variables within a financial model. This advanced course provides a step-by-step guide to integrating a robust sensitivity system into Excel models, using real-world methodologies applied in investment banking, equity research, FP&A, and corporate development.
You will learn how to structure, automate, and visualize the effects of different scenarios on financial outcomes—critical for presenting alternatives, supporting strategic decisions, and responding to uncertainty in real time.
Learning Methodology
Academic Development
Learning Objectives:
Who Should Attend?
This course is ideal for:
Prerequisites
Required Technical Skills:
Post-Certification Profile
Upon completing this course, you will be able to: