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Strategic Credit Modeling and Advanced Financial Diagnostics



Finance & Accounting

17 March, 2026

Master Ratio Analysis, Cash Flow Evaluation, PD Estimation & Credit Risk Modeling for Financial Decisions

$89.00 FREE

Understanding credit risk is essential for financial decision-makers, analysts, and investors. This course, Advanced Financial Analysis and Credit Risk Modeling, is designed to equip learners with the analytical tools and modeling techniques used by top-tier credit professionals, rating agencies, and investment firms.

Throughout the course, you will develop practical skills in ratio analysis, cash flow forecasting, and quantitative modeling to assess an organization’s creditworthiness. You’ll start with a deep dive into financial ratios—including liquidity, leverage, and profitability—and learn how these indicators reveal critical insights into a company’s ability to service debt. Next, you’ll analyze cash flow statements using advanced techniques like EBITDA coverage, free cash flow modeling, and scenario analysis.

The course then moves into the domain of quantitative credit risk modeling. You will learn how to estimate the probability of default (PD), calculate expected losses, and apply credit scoring techniques using Excel-based tools. Through interactive exercises, you’ll gain hands-on experience in applying structural and reduced-form credit risk models for both sovereign and corporate credit evaluations.

This course is ideal for finance professionals, credit analysts, and students preparing for roles in banking, investment, or risk management.

By the end, you’ll be equipped to make informed credit decisions based on robust financial and quantitative analysis.


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