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Joinfluxdrive

Master Financial Analysis Through Real-World Practice

Our comprehensive program combines technical skills with practical experience, preparing you for meaningful careers in financial stability analysis across Southeast Asia's growing markets.

18 Week Program
85% Complete Course
12 Industry Projects

Learn Through Live Case Studies and Regional Market Analysis

We've built our curriculum around real financial scenarios from Thai and regional markets. You'll work with actual company data, analyze market conditions, and develop recommendations that mirror what analysts do daily.

  • Financial statement analysis using Thai market examples
  • Risk assessment methodologies for emerging economies
  • Investment evaluation techniques with regional focus
  • Portfolio management strategies for local markets
  • Regulatory compliance across ASEAN frameworks
Schedule Information Session
Students analyzing financial data and market trends in collaborative learning environment

18-Week Intensive Program Structure

Starting September 2025, our next cohort will dive deep into financial analysis with hands-on projects and mentorship from industry professionals.

Veerawat Jindapat, Senior Financial Analyst and Program Director

Veerawat Jindapat

Program Director

Former senior analyst at Bangkok Bank with 12 years experience in regional market assessment. Veerawat brings real-world expertise from evaluating over 400 investment opportunities across Thailand and neighboring markets.

1

Financial Foundations & Market Context

Begin with core accounting principles, then examine how Thai and ASEAN markets operate. You'll analyze real companies listed on the Stock Exchange of Thailand and understand regulatory environments.

Weeks 1-3
2

Advanced Analysis Techniques

Master ratio analysis, cash flow evaluation, and trend identification using actual financial statements. Work with datasets from various industries including tourism, manufacturing, and technology.

Weeks 4-8
3

Risk Assessment & Valuation

Learn to evaluate investment opportunities and assess financial stability. Practice with case studies from recent market conditions, including pandemic recovery analysis and sector-specific challenges.

Weeks 9-12
4

Portfolio Management & Strategy

Develop comprehensive investment strategies suitable for regional markets. Create portfolio recommendations considering local economic factors, currency considerations, and regulatory requirements.

Weeks 13-16
5

Capstone Project & Presentation

Complete an independent analysis project on a company or sector of your choice. Present findings to a panel including working analysts and receive feedback on methodology and recommendations.

Weeks 17-18