Completed from United Kingdom
I signed up for the course hoping to get a grip on real‑estate debt basics, and it definitely delivered. The casual tone of the videos made complex topics like mezzanine financing feel approachable, and the practical worksheets helped me practice debt‑service coverage ratio calculations on my own property portfolio. The reading list was spot‑on – recent market reports kept everything relevant. I left the program feeling equipped to negotiate loan terms with lenders, even if I’d love a few more live Q&A sessions.
The Master Certificate in Real Estate Debt Financing delivered exactly what I needed to meet my professional goals. The modules on loan structuring and cash‑flow modeling gave me a solid framework for evaluating multifamily deals, and the case studies on CMBS issuance were directly applicable to my work at a regional brokerage. I especially appreciated the high‑quality slide decks and the downloadable Excel templates – they saved me hours of spreadsheet building. Overall, the instruction was clear, the materials were up‑to‑date, and I feel confident presenting financing packages to senior management now.
Wow! This course blew me away with its hands‑on approach. From day one I was building a full financing model for a mixed‑use project in Mumbai, and the step‑by‑step video walkthroughs made it a breeze. I learned how to structure senior and subordinate debt, run sensitivity analyses, and even pitch the deal to a mock investor panel. The course materials – especially the real‑world templates and the up‑to‑date market data – were top‑notch. Thanks to this training I landed a junior analyst role at a real‑estate fund and can already contribute to deal underwriting.
The program was exceptionally detailed, covering everything from the fundamentals of debt‑service ratios to advanced topics like covenant negotiation and cross‑border financing structures. Each week featured a concise lecture, a set of practical assignments, and a live webinar where instructors answered nuanced questions about South African market dynamics. I particularly valued the supplemental reading pack that included recent regulatory updates, which made the content feel immediately relevant. By the end of the course I could confidently draft term sheets and conduct risk‑adjusted return analyses for commercial projects.