Master Corporate Finance Analysis for Real Market Impact
Join finance professionals who've enhanced their analytical capabilities through our comprehensive training programs designed for the Argentina market dynamics.
Explore Our Training Approach
Research-Driven Learning Framework
Our training methodology combines academic rigor with practical application. We focus on decision-making frameworks that work in volatile markets like Argentina's economy.
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1Case-based learning using actual Latin American market scenarios
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2Currency risk assessment and hedging strategies
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3Inflation-adjusted valuation models and techniques
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4Regulatory compliance framework for Argentine markets


Essential Finance Knowledge Blocks
DCF in High Inflation
Adjust discount rates for inflation expectations and use real vs nominal approaches correctly.
Currency Risk Modeling
Build sensitivity scenarios for peso devaluation impacts on cross-border investments. Include multiple exchange rate paths in your base, optimistic, and pessimistic cases.
Working Capital Analysis
Factor in supplier payment terms that reflect local business practices.
Regulatory Changes
Monitor BCRA policy changes and their implications for corporate financing decisions. Stay updated on capital controls and their impact on international transactions and hedging strategies.

Next Program Starts
August 2025 — Applications open March 2025