Cambridge Finance are a Specialist Real Estate Financial Training and Analytics Centre, offering exceptional instructor-led training sessions and bespoke real estate financial models.
We focus on the application of financial theories to your work life, delivering the best return on your training investment.
Our courses are designed for real estate finance professionals whose work involves building financial models from scratch and analysing real estate investments.
- Innovative Training Concepts
Simulation through case studies. By using real life examples, we are able to simulate your work environment and deliver unique knowledge which will prove invaluable in future modelling assignments.
- Practical Approach
Our trainers were real estate practitioners and are highly qualified individuals. We understand the market, we have done transactions ourselves and know what is needed in real life to provide excellent analytical analysis and how to communicate it effectively.
- Proven Pedagogy
Step-by-step guides on how to approach the challenges of modelling tenancy schedules and forecasting rental income, operating expenses, capital expenditure, development and debt finance.
- Small Groups
We pride ourselves on giving each delegate the attention they deserve so they can take their real estate financial modelling skills to the next level.
Our training sessions will have no more than 6 participants, making our courses dynamic, intensive and relevant.
- 2-Month Post-Course Support
We offer a two-month post course support so you can ask us questions related to the course material. We can also advise you on your own models through our Analytics Service.
5 training courses found
Overview: Construct a robust real estate financial model to assess the financial risk and return profile of development, re-development and refurbishment projects. This course is aimed at banking and lending analysts for real estate, investment surveyors, real estate finance professionals and property consultants seeking to build robust real estate development models free of errors.
Content Day 1 Best practices in financial models Simple tips to help you become an efficient financial modeller How to avoid errors
Overview: Construct a robust real estate financial model from scratch and use it to assess the financial risk and return profile of a geared investment project with debt finance techniques. This course is aimed at financial analysts working for for banks, real estate consultancies and property consultancies seeking a best practice approach to building robust real estate debt models.
Overview: In this course, delegates will learn how to value publicly traded real estate securities and make sound real estate investment decisions. This course will expose delegates to a broad literature on real estate securities, real estate investing and portfolio valuation.
Overview: Add real estate risk calculations to any financial model and use them to advise clients, lenders, joint-venture partners and other stakeholders on the risk-adjusted returns of real estate projects. This course is aimed at all real estate consultants and analysts seeking to become an expert in real estate finance and financial modelling.