Master the complete lifecycle of investment banking operations—from trade life cycle management and risk compliance to settlement operations and financial analysis—using the latest tools, platforms, and industry practices. This program is tailored for fresh graduates and working professionals aiming to launch a high-growth career in the world of global finance.
Gain hands-on experience with financial markets, investment products, regulatory frameworks, trade reconciliation, and real-world investment banking processes. Get ready to take on roles like Investment Banking Analyst, Trade Operations Analyst, Risk Analyst, and Financial Associate—with dedicated placement support, expert-led training, and practical exposure to real-world banking scenarios.
Master Investment Banking with hands-on training in Excel, M&A Analysis, Valuation Techniques, and Bloomberg Terminal.
Get placed in a investment banking role within 6 months of graduation or receive a full refund of your program fee.
Learn from top industry experts through interactive live sessions with real-time doubt resolution and hands-on guidance.
Personalized guidance from industry mentors to help you navigate your learning journey effectively.
Resume building, interview preparation, and exclusive access to job opportunities with top companies.
Work on real-world projects to build a strong portfolio that showcases your data science expertise.
Our industry-aligned curriculum is designed by experts to help you master the most in-demand Investment Banking skills and prepare you for a successful career.
Start your journey by understanding the landscape of global financial systems and how investment banks function within them. This module builds your foundation in capital markets, securities, and the core services offered by investment banks. You’ll explore both the buy-side and sell-side of finance, learn about different financial instruments, and become familiar with regulatory bodies that govern market behavior.
Understand global capital flows between governments, businesses, and individuals to learn how financial systems drive markets and economic growth worldwide. Read More
Equity, Debt, Derivatives: Learn market structure and functions covering primary & secondary markets, IPOs, bond issuance, and derivatives trading. Read More
Discover the critical role of investment banks in finance managing mergers, acquisitions, capital raising, and providing advisory services. Read More
Explore front, middle, and back-office divisions in banking and understand how they collaborate effectively during complex transactions. Read More
Learn about financial regulations with SEBI, RBI, and FINRA to understand compliance norms across Indian and global markets. Read More
This module strengthens your financial literacy by teaching you how to read, interpret, and analyze financial statements. You’ll learn to evaluate a company’s financial health, identify red flags in reporting, and perform fundamental analysis essential for valuation and due diligence.
Develop strong skills in reading and interpreting financial statements including income statements, balance sheets, and cash flow reports. Read More
Apply liquidity, solvency, and profitability ratios for performance to analyze companies and strengthen decision-making in investments. Read More
Understand working capital, revenue recognition, and accrual principles to gain clarity on company operations and financial cycles. Read More
Analyze cash flow statements to assess earnings quality and evaluate long-term business sustainability and profitability. Read More
Identify financial red flags in corporate reporting practices including hidden liabilities, aggressive accounting, and off-balance sheet exposures. Read More
This module strengthens your financial literacy by teaching you how to read, interpret, and analyze financial statements. You’ll learn to evaluate a company’s financial health, identify red flags in reporting, and perform fundamental analysis essential for valuation and due diligence.
Master time value of money with present and future value techniques, foundational for financial modeling and valuation. Read More
Create discounted cash flow valuation models for intrinsic company value using projected free cash flows. Read More
Benchmark company valuations using comparables and precedent transactions to evaluate market value across industries and deals. Read More
Understand WACC, terminal value, and perform sensitivity analysis to assess valuation risks with scenario-based modeling tools. Read More
Learn valuation methods applied in M&A and IPO transactions to determine accurate pricing and investor confidence. Read More
Financial modeling is a key investment banking skill. In this module, you’ll learn to build and audit models in Excel, project financial statements, and use sensitivity analysis to simulate market scenarios. You’ll also gain experience in model structuring and error-proofing like top-tier IB professionals.
Develop advanced Excel skills for financial modeling tasks including calculations, data visualizations, and accuracy checks. Read More
Build three-statement financial models linking income, balance, and cash flow for dynamic business insights. Read More
Create assumptions-driven forecasting and budgeting models to estimate financial performance with accuracy. Read More
Conduct scenario and sensitivity analysis to test financial resilience under different economic conditions. Read More
Learn introductory merger and leveraged buyout modeling to understand deal structures and financing strategies. Read More
This module teaches you the art of communicating value through pitchbooks, teasers, and CIMs — tools used to present deals to investors and clients. You’ll also learn about term sheets, due diligence, and how to compile compelling investment narratives.
Design professional investor-ready pitchbooks for finance combining storytelling, analysis, and impactful presentations. Read More
Write teasers and confidential information memorandums (CIMs) to attract investors with compelling deal documents. Read More
Understand the entire M&A deal lifecycle from origination to closure with execution steps. Read More
Decode term sheets and legal considerations for contract clauses and deal protection mechanisms. Read More
Analyze real-life pitchbooks from top investment banks like Goldman Sachs and Morgan Stanley. Read More
Apply everything you’ve learned by working on real-world simulations and capstone projects. From a full M&A model to IPO analysis, this module prepares you for interviews and on-the-job success. You’ll also receive hands-on support for resume building, mock interviews, and job placement.
Work on live capstone projects in M&A IPO, and valuation simulations with structured feedback. Read More
Present your work to peers and industry mentors and receive actionable real-time feedback. Read More
Craft compelling resumes and optimize LinkedIn profiles to stand out to top recruiters in finance. Read More
Practice mock interviews covering both technical and behavioral questions with expert feedback. Read More
Leverage placement support and hiring networks for exclusive job referrals through BookMyLearning connections. Read More
Your learning journey is more than just gaining knowledge—it’s about growth, discovery, and transformation.
Learners placed in top global companies across UAE, UK, Canada, and more.
10+ Batches 500+ LearnersEmpowering professionals and freshers to level up through skill-based learning.
110+ Batches 5K+ LearnersTrusted by industry-leading recruiters and top-tier startups.
110+ Batches 5K+ LearnersLearners have reported significant hikes post program completion.
1000+ PlacementsConduct a comprehensive deal study, including valuation, synergy estimation, and deal structure breakdown.
Create a full IPO valuation report using DCF, comparables, and issue pricing techniques for Indian tech IPOs.
Build a dynamic Discounted Cash Flow model for HDFC Bank using revenue forecasting and cost of capital.
Develop a professional investor pitchbook for a high-growth tech startup aiming for Series A funding.
Prepare an investment memorandum evaluating a real estate portfolio using yield, NPV, and IRR.
Perform risk and return analysis using Monte Carlo simulations and portfolio theory on U.S. market assets.
Conduct a valuation using trading comps for publicly listed EdTech companies and prepare a valuation summary.
Create an LBO model including debt structure, IRR, and exit scenario planning for a hypothetical FMCG buyout.
Dedicated career support to transform your skills into a successful investment banking career.
Real success stories of professionals who built thriving careers in investment banking with us.