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Financial Modeling: Statements, Costs & Forecasts

Build financial models, analyze statements, calculate capital costs, and forecast revenue with scenario analysis. In this course, you’ll develop the core modeling skills used by financial analysts in corporate finance and investment settings. You’ll start by interpreting income statements, balance sheets, and cash flow statements to assess liquidity and performance. Then, you’ll calculate Weighted Average Cost of Capital (WACC), analyze cost variances, and connect financial statements into integrated three-statement models. You’ll also apply top-down and bottom-up forecasting techniques and build discounted cash flow (DCF) models with sensitivity analysis. What makes this course unique is its practical focus. You won’t just learn formulas—you’ll apply them in structured modeling exercises that mirror real analyst tasks. By the end, you’ll be able to build, test, and evaluate robust financial models with confidence.
Duration 4 Months
Institution Coursera
Format Online

Eligibility Criteria

school

Academic Foundation

A recognized Bachelor’s degree or high school equivalent required for admission into Coursera.

language

Language Proficiency

English proficiency required. IELTS, TOEFL, or standard medium-of-instruction certificates accepted.

Detailed Fees Breakdown

Base Tuition Fee $360
Total Est. Investment $360

Scholarships and early-bird waivers may apply. Contact admissions for exact institutional fees.

Academic Trajectory

Program Outcome

Graduates of the Financial Modeling: Statements, Costs & Forecasts program at Coursera are equipped with global perspectives, ready to excel in international markets and top-tier career opportunities.

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