Once again, apologies to readers, due to my busy schedule!! Last week saw me running a 5 day course on financial modelling for one of the largest banks in Indonesia, covering the full range of topics from best practices through to risk modelling, taking a look at financial statements, valuation, lookup functions, risk modelling and optimisation (amongst other topics) along the way! I’ve finally got around to thinking about organising a public course on financial modelling for oil and gas, including risk modelling, decision-making and optimisation etc. This is planned for May 22-25th in London. Read here for more.