Learn Working Capital Analysis Through Real Experience
Join our structured program starting September 2025. We focus on practical cashflow management, financial forecasting, and business decision-making. You'll work with real data sets and actual business scenarios.
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How We Actually Teach This
Our approach is different. You won't sit through endless theory lectures. Instead, you'll analyse real company financials, discuss actual business problems with peers, and build practical skills you can use straight away.
Small Group Sessions
We keep groups to 8-12 people. Everyone gets proper attention, and you'll actually know your classmates. It's easier to ask questions when you're not in a lecture hall with 200 strangers.
Real Financial Data
Work with anonymised data from Australian SMEs. You'll see patterns, spot problems, and learn what healthy working capital actually looks like across different industries.
Peer Review Process
Present your analysis to the group. Get feedback. Learn from other people's perspectives. This mirrors how financial teams actually work in practice.
Weekly Case Studies
Each week brings a new scenario: a retail business facing cashflow issues, a manufacturer struggling with inventory costs, a services company managing growth. Different problems, different solutions.
Office Hours Access
Stuck on something specific? Book time with instructors. Sometimes you just need 15 minutes to clear up a concept or review your work before submission.
Industry Tools Training
Learn the software that businesses actually use. Excel at an advanced level, financial modeling templates, and reporting tools. Not just theory, but practical application.

Russell Kemp
Former CFO, Manufacturing

Naomi Frost
Financial Controller, Retail
Learn From People Who've Done This Work
Both instructors spent years managing working capital in actual businesses. They've dealt with cashflow crises, supplier negotiations, and growth planning. You'll learn from their mistakes and successes, not just textbook examples.
Common Struggles We Address
Most people find certain aspects of working capital analysis confusing at first. Here's how we help you work through them. These are actual questions we've heard repeatedly over the years.
Understanding the Numbers
Financial statements can feel overwhelming. Which ratios actually matter? What's considered healthy versus concerning? We break this down using real examples, showing you exactly what to look for and why it matters.
Practical walkthroughs includedForecasting Cash Needs
Predicting future cash requirements isn't straightforward. Seasonal patterns, growth plans, supplier terms – it all affects the calculation. We teach you methodical approaches that account for variables and build realistic projections.
Template models providedInterpreting Industry Context
A ratio that's fine for retail might be terrible for manufacturing. You need context. We cover multiple industries, explaining why standards differ and how to benchmark properly.
Industry comparison guidesMaking Recommendations
Analysis is one thing. Suggesting actionable changes is another. Should they negotiate better payment terms? Reduce inventory? We teach you how to move from observation to practical recommendation.
Decision framework training