Financial Analysis Learning Programs
Master liquidity and solvency analysis through structured curriculum and hands-on experience with real financial statements from Taiwan market companies
Build Practical Financial Skills
Our programs teach you how to evaluate company health through ratio analysis, cash flow assessment, and balance sheet interpretation. You'll work with actual financial data from businesses operating in Taiwan's manufacturing and service sectors.
Most participants come from accounting backgrounds or business roles where they need stronger analytical capabilities. The curriculum runs for eight months starting September 2025, with evening sessions twice weekly to accommodate working professionals.
You won't become an expert overnight. But you will develop a framework for assessing financial stability that applies across industries and company sizes.
Program Information
Getting Started
Curriculum Details
Practical Information
Learning Journey
The program progresses through three connected phases over eight months, building from foundational concepts to independent analysis capability
Foundation Building
Financial statement structure, accounting principles, and basic ratio calculations. You'll learn to read balance sheets and income statements accurately.
We start with simple examples before moving to complete company financials.
Analysis Practice
Apply liquidity and solvency ratios to real cases. Compare companies within the same industry and identify patterns that signal financial strength or weakness.
Group work begins here with peer review of analysis approaches.
Independent Projects
Conduct full financial health assessments on companies you select. Present findings and defend your conclusions with supporting evidence from the statements.
This phase simulates work you'd do in actual business environments.
Program Instructors
Our teaching team brings direct experience from banking, corporate finance, and auditing roles. They've evaluated hundreds of companies and understand what matters in real financial assessment situations.
Haruki Taniguchi
Spent twelve years analyzing credit risk for commercial loans at regional banks. Teaches the liquidity analysis modules and leads the case study sessions.
Piotr Kowalewski
Former audit senior manager who reviewed financial statements for publicly traded companies. Focuses on debt structure analysis and long-term financial stability assessment.
Siobhan Fionn
Works as corporate treasury analyst and teaches the practical application sections. Helps students understand how analysis informs actual business decisions.