Key Subject matter expert
CA(SA), RA, AZICA BTCA, CTA, BCom (cum laude), BCom (Accounting)(Hons)
Gladman is currently the managing Partner at Moyana and Associates Chartered Accountants. Gladman is a subject matter expert in Corporate and Public Sector Economics/Finance and lectures the subject to varied audiences including prospective Chartered Accountants and working professionals . He is a marker and Question setter for SAICA’s ITC.
Gladman is a Chartered Accountant with extensive experience in various aspects of structured business advisory. He is involved in the financial due diligence for a number of companies for the deals for which he is the head transaction advisor.
To date some of his most exciting projects were advising a government department on the accounting treatment for completely new transactions with no similar transactions in the economy and being the lead financial expert in the national evaluation of the learner transport programme on behalf of DPME, Department of Basic Education and Department of Transport, where his experience in applied finance was called upon for establishing value for money and option generation.
Courses We Support
We provide online interactive tutorial support for the following finance students.
Format of Lectures
Lectures are offered in session of between 90 to 120 minutes. Lectures can be conducted via group sessions per topic or individually. The group sessions will be conducted per sessions as will be advertised. Students will be required to register for them to gain access to the sessions.
Areas of Teaching Expertise
01. Financial Mathematics
02. Risk and Return and Portfolio Management
03 Capital structure and Cost of Capital
04. Analysis of financial statements and other information
05. Equity, alternative investments, assets and bond valuation
06. Mergers and acquisitions
07. Evaluation of value creation
– EVA and Residual Income
– Capital budgeting and productivity
– Tactical short-term decision making and transfer pricing
– Lease vs buy decisions
08. Dividend policy
09. Risk management and derivatives
10. International finance