
[100% Off] Financial Modeling Starter Pack
Learn Excel, financial modeling, valuation, fixed income, and capital markets for finance and financial analyst careers
Requirements
- No prior financial modeling experience required
- Microsoft Excel installed on your system
Description
Are you looking to build strong foundations in financial modeling, valuation, Excel, and finance concepts for analyst and finance careers?
This beginner-friendly Financial Modeling Starter Pack is designed to help you learn practical financial modeling in Excel, valuation techniques, fixed income concepts, and capital markets fundamentals through a structured and easy-to-follow learning approach.
Whether you are a finance student, aspiring financial analyst, MBA student, Excel beginner entering finance, or someone interested in valuation and business analysis, this course is designed to help you build practical finance and analytical skills step-by-step.
Unlike many advanced financial modeling programs that assume prior finance knowledge, this course begins with Excel fundamentals. Gradually, it progresses into financial modeling, valuation, fixed income, and capital markets concepts.
The course starts with practical Microsoft Excel fundamentals commonly used in finance and analytical workflows.
You’ll learn the Excel interface, workbook structure, and essential worksheet formatting techniques. The course covers basic Excel functions, named ranges, sorting, and filtering tools. You’ll also create charts, visualizations, and professional Excel reports with confidence.
Additionally, you’ll understand printing workflows and formatting practices for organized and presentation-ready worksheets.
As the course progresses, you’ll move into one of the core sections of the program: financial modeling in Excel.
You’ll learn a practical 9-step financial modeling process, including:
Structuring the financial model
Analyzing historical financial statements
Projecting revenues
Estimating costs
Forecasting depreciation
Working capital projections
Cash flow statement preparation
Debt projections
Balancing the balance sheet
The course focuses on helping you understand how integrated financial statements work together in practical financial modeling workflows.
You’ll also build strong foundations in valuation concepts and financial analysis techniques.
The course covers:
Intrinsic valuation concepts
Cost of capital
Cost of debt
Cost of equity
Weighted average cost of capital or WACC
Gordon Growth Model
Dividend Discount Model or DDM
Free Cash Flow to Equity (FCFE)
Free Cash Flow to Firm (FCFF)
Multiplier valuation models
Asset-based valuation approaches
In addition to financial modeling and valuation, the course introduces fixed income investing concepts, like fixed income instruments, risks associated with such financial instruments, and how to construct a fixed income portfolio.
The program also helps develop a practical understanding of capital markets and financial systems. It includes lectures on capital market fundamentals, primary and secondary markets, securities markets, derivatives overview, and more.
Throughout the course, the learning approach remains highly structured and beginner-friendly. You’ll work through practical Excel exercises, financial modeling workflows, valuation examples, finance concepts, and analytical finance topics designed to help you build stronger finance and financial analyst foundations.
Whether you are a finance student, an MBA student, or an aspiring financial analyst, this course is designed for you. It is also suitable for beginners learning financial modeling and Excel users entering the finance industry. Working professionals can strengthen practical finance, valuation, and financial modeling skills through structured industry-relevant workflows.
By the End of This Course, You Will Be Able To
Build structured financial models confidently in Excel
Understand integrated financial statement workflows
Apply practical valuation concepts and financial analysis techniques
Analyze revenues, costs, cash flows, and debt projections
Understand fixed income and capital market fundamentals
Work more confidently with Excel in finance environments
Build stronger finance and analytical foundations for professional growth
Understand key concepts used in financial analysis and valuation workflows
What Makes This Course Different
Combines Excel, financial modeling, valuation, fixed income, and capital markets in one structured program
Ensures beginner-friendly progression, from Excel basics to finance concepts
Covers practical 9-step financial modeling workflows in Excel
Includes valuation methods commonly used in finance and equity analysis
Helps learners build stronger finance and analytical foundations
Includes a structured learning approach, which is suitable for beginners and aspiring analysts
Covers both practical Excel workflows and finance concepts together
About the Course Director
The course structure and learning experience have been designed under the guidance of Dheeraj Vaidya — CFA, FRM charterholder, Co-Founder of WallStreetMojo and ExcelMojo, and alumnus of IIT and IIM.
As the course director, he oversaw the course structure, curriculum design, and overall learning flow of the program. His focus was to ensure the course remains practical, structured, and industry-oriented with strong reporting and analytical relevance.
Author(s): Excel Mojo








