
A comprehensive program designed for aspiring investment bankers to master the global financial ecosystem. This course blends advanced financial theory with real-world deal-making, capital markets, and M&A strategies, preparing you for high-impact roles across global investment banks and financial institutions.
M&A Modelling
Equity Research
Corporate Finance
Deal Structuring
Capital Markets
Risk Management
Certificate with Global Recognition
Access to Bloomberg & Market Terminals
Global Investment Banking Curriculum
Placement Assistance and Networking Support
Expert Faculty from Industry & Academia
Real-world Case Studies and Simulations
|
|
|
|
|
|
|
L1 - Foundation
|
mb |
|
L2 - Strategic
|
mb |
|
L3 - Applied
|
mb |
|
Brochure
|
mb |
|
Flyer
|
mb |

Module 1:
Global Investment Banking Landscape & Capital Markets
Module 2:
Financial Instruments & Asset Classes: Equity, Debt, FX, Commodities & Alternatives
Module 3:
Business Economics & EIC Framework (Economy–Industry–Company Analysis)
Module 4:
Accounting for Bankers: Financial Reporting & Statement Analysis
Module 5:
Corporate Finance & Valuation Fundamentals
Module 6:
The Investor’s Compass – Risk, Returns & Market Misconduct
Module 7:
Credit Analysis & Ratings: Principles, Methodologies & Applications
Module 8:
Sources of Capital & Investor Classes: From Angels to Hedge Funds
Module 9:
Deal Structuring & Transaction Documentation: IPOs, M&A, LBOs & Beyond
Module 10:
Ethics, Regulations & Business Law in Investment Banking
Module 1:
Corporate Finance & Financial Modelling Mastery
Module 2:
Strategic Valuation Frameworks
Module 3:
Mergers & Acquisitions Strategy
Module 4:
Leveraged Buyouts & Advanced Deal Structuring
Module 5:
Corporate Restructuring & Turnaround Strategies
Module 6:
Private Equity, Venture Capital & Alternatives
Module 7:
Debt Capital Markets & Fixed Income Leadership
Module 8:
Equity Capital Markets – IPOs & Public Offerings
Module 9:
Strategic Placements & Advanced Equity Structures
Module 10:
Governance, Ethics & Risk in Investment Banking
Module 1:
Strategic Credit Risk, NPAs & Asset Quality Leadership
Module 2:
Insolvency, Distressed Assets, Bankruptcy & Resolution Frameworks
Module 3:
Global Investment Banking Laws & Cross-Border Compliance
Module 4:
Deal Documentation, Contract Law & Transaction Structuring
Module 5:
Corporate, Securities & Regulatory Law for Investment Bankers
Module 6:
REITs, InvITs & Infrastructure Investment Banking
Module 7:
Global & Indian Taxation in Investment Banking
Module 8:
Global Insolvency Innovation & Reform Trends
Module 9:
Ethics, Governance & Fiduciary Integrity in Investment Banking
Module 10:
Global Financial Leadership, Risk & Compliance Excellence

The candidates who have cleared CA, CS, CMW, CMA (USA), CFA and any other qualifications from time to time.

The course covers investment banking fundamentals, equity research, valuation techniques, capital raising, M&A, IPO processes, and financial modelling.
Yes, the curriculum follows international investment banking practices and benchmarks used by top global banks.
Absolutely. Hands-on training in Excel-based financial modelling is a core component of the course.
Yes, industry case studies from IPOs, mergers, and private equity deals are integrated throughout the course.
You’ll work on real-world projects like pitchbooks, valuation models, deal structuring proposals, and due diligence analysis.
Where available, students are exposed to Bloomberg terminals, market data platforms, and tools used by professionals.
Yes, foundational finance modules are included to help students from diverse academic streams catch up quickly.