- Promoted by: Anonymous
- Platform: Udemy
- Category: Other Finance & Accounting
- Language: English
- Instructor: Starweaver Experts , Michael McDonald , Paul Siegel , Globecon Experts
- Duration: 2 hour(s) 6 minute(s)
- Student(s): 1,426
- Rate 4.5 Of 5 From 15 Votes
- Expired on April 13, 2026
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Price:
19.990
Master fixed income, bond investing, financial math, yield curves, and derivatives in global financial markets
Unlock your potential with a Free coupon code
for the "Credit Risk Modeling & Cash Flow Analysis Mastery" course by Starweaver Experts , Michael McDonald , Paul Siegel , Globecon Experts on Udemy.
This course, boasting a 4.5-star rating from 15 reviews
and with 1,426 enrolled students, provides comprehensive training in Other Finance & Accounting.
Spanning approximately
2 hour(s)
6 minute(s)
, this course is delivered in English
and we updated the information on April 13, 2026.
To get your free access, find the coupon code at the end of this article. Happy learning!
Understanding credit risk analysis is essential for financial decision-makers, analysts, and investors. This course, Credit Risk Modeling & Cash Flow Analysis Mastery, is designed to equip learners with the tools, techniques, and frameworks used in credit risk model development by leading financial institutions, rating agencies, and investment firms.
Throughout the course, you will build practical expertise in credit modelling, credit evaluation, and financial and credit risk analysis. You will begin with a deep dive into credit analysis models, focusing on financial ratios such as liquidity, leverage, and profitability, and how these metrics inform a company’s creditworthiness within a structured credit assessment model.
You will then perform advanced cash flow analysis using techniques such as EBITDA coverage, free cash flow modelling, and scenario analysis - key components in credit risk analysis and management. These skills are essential for understanding how to do a credit analysis of a company and evaluating its ability to service debt.
The course then advances into modelling credit risk, where you will learn how credit risk models work. You will estimate the probability of default (PD), calculate expected loss, and apply credit scoring models examples using Excel-based credit risk analysis tools. Through hands-on exercises and credit risk modelling projects, you will gain experience in both structural and reduced-form credit risk models used in corporate credit risk analysis.
This course also introduces key concepts in financial risk management and broader risk management, helping you understand the role of credit impact analysis and decision-making in real-world financial environments.
By the end of the course, you will be equipped to apply credit modelling techniques, use credit risk assessment tools, and perform comprehensive credit analysis processes to make informed, data-driven credit decisions.