Financial Analysis Mastery Program
Build real expertise in energy sector financial analysis through hands-on learning. Our comprehensive program covers market dynamics, risk assessment, and investment evaluation across traditional and renewable energy markets.
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What You'll Actually Learn
Energy Market Fundamentals
Start with the basics that actually matter. We cover commodity pricing, supply chain economics, and regulatory impacts without the academic fluff.
- Oil and gas market mechanics
- Renewable energy economics
- Grid infrastructure financing
- Carbon market dynamics
- Real case study analysis
Risk Assessment Methods
Learn to spot risks before they become problems. We teach practical risk modeling using real industry data and current market conditions.
- Volatility modeling techniques
- Geopolitical risk factors
- Technology transition impacts
- Credit risk evaluation
- Portfolio diversification strategies
Investment Evaluation
Master the analysis methods that investment professionals actually use. From DCF models to scenario planning, you'll work with real project data.
- Discounted cash flow modeling
- Comparable company analysis
- Project finance structures
- ESG integration methods
- Performance measurement
Practical Application
Theory only gets you so far. You'll analyze real companies, build actual models, and present findings just like you would in a professional setting.
- Live market data integration
- Client presentation skills
- Report writing workshop
- Industry software training
- Peer review sessions
Learn From Industry Professionals
Our instructors work in the field they teach. They bring current market insights and real-world experience to every session.

Marcus Chen
Senior Energy Analyst
Fifteen years analyzing energy markets for institutional investors. Marcus specializes in renewable energy transitions and has advised on over B in clean energy investments across North America and Asia.

Rachel Torres
Portfolio Manager
Currently manages a 0M energy-focused fund. Rachel brings deep expertise in risk management and has navigated multiple market cycles, from the shale boom to the current energy transition.

Diana Kowalski
Financial Modeling Expert
Former investment banker turned educator. Diana has structured financing for major pipeline projects and offshore wind developments. She makes complex financial concepts accessible and practical.
Ready to Start Learning?
Our next cohort begins September 2025. Classes meet twice weekly for 12 weeks, with flexible scheduling options for working professionals.
Program Duration
12 Weeks
Class Size
Max 16 Students
Investment
CAD 2,750
Format
Hybrid Learning