Master Financial Analysis Through Expert Mentorship

Build confidence in financial decision-making with our comprehensive learning program designed for Bulgaria's growing business community

Learn from Industry Veterans Who've Been There

Our lead instructor, Dimitar Vasilev, spent fifteen years analyzing market trends across Eastern European financial sectors. He's not just teaching theory — he's sharing real stories from boardrooms and crisis meetings.

What sets our approach apart is the genuine mentorship. Dimitar still remembers his first major analytical mistake in 2009 and uses those experiences to help students avoid similar pitfalls. You'll get honest feedback, not sugar-coated praise.

400+

Students guided through complex analysis

12

Years developing this curriculum

85%

Report improved confidence in financial decisions

Weekly

One-on-one mentoring sessions

Dimitar Vasilev, lead financial analysis instructor, in a professional business environment

Our Teaching Philosophy: Real Skills for Real Situations

We believe financial analysis should be practical, not purely academic. Every lesson connects to situations you'll actually encounter.

Case-Based Learning

Work through actual financial scenarios from Bulgarian companies. You'll analyze real data sets and learn to spot patterns that matter in our market context.

Personalized Guidance

Elena Dimitrova, our secondary instructor, provides individual feedback on your analytical approach. She adapts teaching methods to match your learning style and professional background.

Immediate Application

Practice new concepts on current market data within days of learning them. This isn't about memorizing formulas — it's about developing analytical intuition.

Program Structure: Building Skills Step by Step

Our nine-month program starts with fundamental concepts and progresses to advanced analytical techniques. Each phase builds naturally on the previous one.

Foundation Phase

Months 1-2

We start with the basics but make them stick. You'll understand why certain ratios matter and when they don't tell the whole story.

Reading financial statements critically
Key ratio analysis and limitations
Industry-specific considerations
Common analytical mistakes to avoid

Application Phase

Months 3-5

Here's where things get interesting. You'll work with messy, real-world data and learn to extract meaningful insights despite incomplete information.

Cash flow analysis techniques
Valuation methods comparison
Risk assessment frameworks
Market trend interpretation

Advanced Integration

Months 6-9

The final phase combines everything into comprehensive analytical projects. You'll present findings and defend your conclusions — just like in professional settings.

Complex scenario modeling
Strategic analysis integration
Professional presentation skills
Independent project completion
Students engaged in collaborative financial analysis work session with real market data

Beyond Coursework: Personal Development Support

Financial analysis is partly technical skill and partly professional judgment. Katya Angelova and Petar Georgiev work with students on both aspects throughout the program.

Weekly one-on-one sessions to discuss your analytical approach and career development

Access to our network of finance professionals across Sofia and Plovdiv business communities

Honest feedback about strengths and areas needing improvement from experienced practitioners

Support transitioning analytical skills into your current role or new career opportunities

Our next program cohort begins in September 2025. Applications open in May, and we typically accept 24 students to maintain the personalized learning environment that makes this program effective.

Learn More About Our Approach
Financial analysis instructor Elena Dimitrova reviewing student work during individual mentoring session