jorvanexirilo

Master Financial Analysis Through Real Business Cases Build Your Expertise Step by Step

Learn liquidity and solvency analysis using actual company financial statements. Our program focuses on practical skills that financial professionals use every day, not theoretical concepts that gather dust.

Financial professional analyzing company reports and cash flow statements

Current Ratio Analysis

Start with the basics. We'll show you how companies like Woolworths manage their working capital and what their current ratio tells you about short-term financial health.

Cash Flow Assessment

Beyond ratios — understand how money actually moves through a business. You'll analyze operating cash flow patterns and spot warning signs before they become problems.

Debt-to-Equity Evaluation

Learn what sustainable leverage looks like across different industries. Compare mining companies to retail chains and understand why context matters in financial analysis.

Real Challenges You'll Solve

  • Seasonal Business Analysis

    A tourism operator shows declining liquidity in Q3. Is this normal seasonality or a genuine cash flow problem? You'll work through quarterly reports to find out.

  • Growth vs Stability Trade-offs

    When a manufacturing company increases debt to fund expansion, how do you evaluate whether this strengthens or weakens their position? Real cases, real decisions.

  • Industry Benchmark Comparisons

    Compare three Australian retailers' solvency ratios. Learn why identical numbers can mean completely different things depending on business model and market conditions.

Business analyst reviewing financial documents and creating assessment reports
Financial data visualization showing liquidity trends and cash flow patterns

Your Learning Journey

Six months of structured learning with practical applications. Each module builds on the previous one, so you develop genuine expertise rather than memorizing formulas.

1

Financial Statement Fundamentals

Master balance sheets, income statements, and cash flow statements using ASX-listed company examples.

2

Liquidity Ratio Deep Dive

Current ratio, quick ratio, and cash ratio — when to use each one and what the numbers really mean.

3

Solvency Metrics Mastery

Debt ratios, interest coverage, and equity multiplier analysis across different business models.

4

Industry-Specific Applications

Mining, retail, technology, and services — how financial analysis varies by sector and why context matters.

Marcus Thorne, Senior Financial Analyst and Course Instructor

Marcus Thorne

Lead Instructor

Fifteen years analyzing Australian companies for institutional investors. Previously worked at Macquarie Bank and currently manages financial due diligence for private equity deals. He's seen what works in practice, not just theory.

Next Program Starts September 2025

Limited to 20 participants for personalized attention. Early enrollment closes in June 2025, so secure your spot while applications are open.

Program Duration

24 weeks of structured learning with flexible scheduling. Two live sessions per week, plus self-paced case study work.

Practical Focus

Every lesson uses real Australian company data. Build a portfolio of analysis work you can show potential employers or clients.