Inside the CFO-grade financial model system
Turn numbers into a story investors trust — the same modeling approach used in $300M+ deals.
- video on-demand
- Includes 250+ investor contacts
- 14 Day Money back Guarantee
Master investor-ready financial projections
- Understand the core components investors expect
- Build credible, data-backed assumptions
- Forecast revenue, costs, and cash flow accurately
- Present projections with clarity and confidence
- Avoid common errors that lose investor trust
- Apply Mohamed’s $300M+ projection framework
What you get:
- Lifetime Access – Learn anytime, anywhere
- Course Slides – Visual frameworks for each section
- Investor Case Study – Real-world winning projection breakdown
- Financial Projection Templates – Ready-to-use & editable
- Sample Model – Fully completed example
- Workbook – Step-by-step guide with prompts
- Full Video Training – Detailed walkthrough of each section
Course details
From revenue forecasting to final investor presentation — learn how to design, structure, and present projections that align with your business plan and fundraising goals.
Key objectives
- Learn the essential elements of financial projections
- Build realistic and investor-friendly forecasts
- Connect projections to your pitch and business model
- Present your numbers with confidence
Key learnings
- Revenue, cost, and cash flow forecasting techniques
- Linking financial statements together
- Stress-testing assumptions and scenarios
- Designing models that are easy to understand
- Using projections to strengthen your funding case
- Course workbook
Guided exercises to build your projections
- Course slides
Key formulas & layouts
- Case study
Fictional company’s complete projection model
- Templates
For fast, professional creation
- Sample model
Full completed example
- Full module videos
Deep dives into each stage
- Investor list
250+ verified contacts (bonus in bundle)
Customize your package
- Review and Feedback by Mohamed Chaudry & Team
Submit your projections for a detailed expert review and revision suggestions.
- What will I receive after completing the course?
You will receive a verified certificate of completion to showcase your skills and knowledge.
Students Feedback
DK
Daniel K. HealthTech CEO
What stood out was how practical this was. The projections model is literally plug-and-play you input your assumptions and it does the heavy lifting. I went from a blank Excel sheet to a full investor-ready forecast in one afternoon.
OT
Omar T. Fintech founder
The best part for me was the ready-made model. It wasn’t just theory I could build my own forecasts by plugging in real numbers straight away. It made my deck look so much more credible.
AM
Anika M. Small business owner
Honestly, I thought financial projections were out of my depth. The plug-and-play model made it doable. I now have a proper 3-year forecast, and my accountant was impressed with how clean it looked.
What you’ll walk away with:
Get a glimpse into the exact pitch tools, storytelling techniques, and CFO-level strategies that helped raise over $300M+. These behind-the-scenes clips reveal what founders learn inside the course—from investor templates to the proven 3-minute pitch formula—so you can see how it all comes together before you dive in.
Built by CFO who’s helped startups raise $300M+
10K+
Linkedin followers
500+
Happy students
25 Years
CFO fundraising experience
300+
Educational videos on youtube
Inside the CFO-Grade financial model system
Turn numbers into a story investors trust — the same modeling approach used in $300M+ deals.
Module 1: Understanding financial projections
- Why projections matter to investors
- Key components of credible forecasts
- Common mistakes to avoid
Module 2: Revenue forecasting
- Choosing the right forecasting method
- Identifying and quantifying key revenue drivers
- Building assumptions that stand up to investor scrutiny
Module 3: Cost & expense planning
- Breaking down fixed and variable costs
- Factoring in recurring and one-time expenses
- Aligning expenses with your growth plan
Module 4: Cash flow management
- Building a clear cash flow forecast
- Identifying funding gaps and timing needs
- Managing seasonality and risk
Module 5: Profit & loss projections
- Creating a complete P&L statement
- Connecting revenue, cost, and profit drivers
- Comparing against industry benchmarks
Module 6: Balance sheet forecasting
- Forecasting assets, liabilities, and equity
- Integrating with P&L and cash flow forecasts
- Presenting overall financial health
Module 7: Action plan & investor readiness
- Financial model completion checklist
- Validating assumptions with data
- Preparing to present to investors confidently
inverstor decks that raise
Pitch Decks we have created for our clients. Explore the full deck—see structure, story, and polish.
Confidence comes from the numbers
Show investors your growth path with clear, credible projections that stand up to scrutiny.
Real stories from founders who used my system