IIMA, IITD
23+ Years of Industry Experience



Each semester pairs core finance subjects with applied studio work and an AI-in-finance layer. The program builds from fundamentals in Semester 1 to live deal work and placement in Semester 4.

Learning Module

Practicals

Tools
Start by building the foundation every finance role demands. By the end of this semester, you will have strong finance fundamentals and practical skills to use AI in real finance workflows.
This semester moves into valuation and research. By the end, you will have written multiple equity research reports covering different sectors and built an AI agent for annual reports or DRHP analysis.
This semester covers deal work, FinTech and Agentic AI. By the end, you will have built full pitch books, LBO models, M&A models, project finance models and multiple finance AI agents.
The final semester is where everything comes together. You go into a 3 to 6-month embedded internship in India, defend a capstone and complete the full placement cycle.
Learn to build agents that read annual reports, DRHPs and credit ratings, extract what matters, flag inconsistencies and produce source-backed summaries in a fraction of the time.
Learn to build a 3-statement model and then use AI to audit it, check assumptions, flag errors and produce sensitivity commentary faster, without trading accuracy for speed.
Learn to build automated workflows that handle variance analysis, MIS commentary and board-level summaries with fewer manual steps.
Learn to build document intelligence workflows that read SEBI filings, RBI circulars and GST notices, pull out what is relevant, flag obligations and draft response frameworks.
Build a finance AI agent that handles real inputs, stays within the controls a finance team would trust and present or defend your approach amongst the practitioners.
Every project in this MBA-level finance course is built around what the industry actually expects from a trained analyst.
Build a full operating model of a real listed company from scratch
Write a company analysis with valuation and a clear investment call
Value a business three ways: DCF, trading comps, precedent deals
Run a leveraged buyout with return analysis against a sponsor's hurdle
Build an M&A model and read accretion and dilution
Build a model and evaluate DSCR, debt repayment, project IRR and funding feasibility
Analyse a DRHP the way a real analyst covers a live IPO
Build a full investment banking pitch book with deal thesis and financials
Design and ship a human-in-the-loop agents for finance work flows
Pressure-test a startup's numbers against real fintech benchmarks
Defend an end-to-end deal mandate before a practitioner panel
Build finance agents, share prompts and automation workflows
Do case-cracking, explore frameworks and discuss business problems in-person
Run through a live portfolio, debate thesis and track P&L with your peers
Evaluate startups, build LBOs and participate in the mock investment committees
Work on the coverage notes for real companies and publish them to build a strong portfolio
Participate in mock finance job interviews, modelling tests and superday prep.
IIM INDORE
Ex – Tech Mahindra
Prasad Ajinkya
Build and ship real finance AI agents and workflows and graduate with fluency in the AI tools the industry is now hiring for.
Every model, report, and deal you build is in these two years will work for as a strong and practical portfolio for you.
Take on real company projects, guided by practitioners from IB, PE, equity research, asset management and fintech.
Simultaneously work on live deals, IPO coverage and a 3–6 month embedded internship at a real finance or fintech firm.
Become job-ready with our interview prep, modelling tests, networking and mock superdays from the very first term.
₹5 – ₹9 LPA
₹6 – ₹12 LPA
₹6 – ₹11 LPA
₹5 – ₹10 LPA
₹6 – ₹12 LPA
₹8 – ₹15 LPA
₹10 – ₹20 LPA
₹6 – ₹14 LPA
₹8 – ₹18 LPA
₹8 – ₹20 LPA
100% built for core AI + finance careers
General management; finance is one elective
Real models, research and deals reviewed by practitioners
Lectures, cases, exams
Practitioners from IB, PE, equity research and fintech
Largely academic faculty
Infused into every semester as a core skill
Absent or a one-off workshop
3 to 6 month embedded India internship
Varies, often not embedded
The financial modeling and valuation training was spot on. Helped me crack my first IB interview easily.
Valuation models, pitch-books and industry research was the key reason I got shortlisted in interviews.
Trainers were actual bankers, so every session felt relevant and industry-ready.
The placement support was real. I got 2 interviews within a week of finishing the course.
I liked how everything was practical, especially the financial modelling projects. It made the concepts stick.
Any graduate from any discipline can apply. Final-year students can apply before results are declared.
No. The program is open to both fresh graduates and early-career professionals moving into finance.
Yes, final-year students apply all the time and can start the program before results arrive.
The entrance for this course is based on AIMA MAT exam score + 1:1 interviews.
Yes, we offer an academic scholarship to candidates with a good academic track record and a good score in the MAT exam. Speak to a counsellor to check what is available for the current batch.
It is a 2-year, full-time program across 4 semesters. The first two semesters cover foundations and valuation, Semester 3 covers deals and specialisation and Semester 4 is the internship, capstone and placement semester.
It is not a university degree. It is an MBA-level finance certification course built outside the conventional degree structure so the curriculum stays current with what the industry actually needs.
Yes. This is a classroom-only program based in Mumbai.
Speak to our admission counsellor for current fee details and any academic scholarship availability.
Yes, instalment options are available. Our admission counselors will walk you through the full breakdown.
Amquest School of Business awards a Post Graduate Program certificate in Management and Finance on completion.
Neither. It is a PGP certificate program, equivalent to an MBA in finance at the skills and curriculum level, built to stay current with the market rather than follow a university structure.
It is valued on the strength of the skills you demonstrate, the portfolio you graduate with and the placement support behind you. Speak to our team about employer partnerships and hiring network details.
Investment banking analyst, equity research analyst, PE and VC associate, FP&A analyst, credit analyst, FinTech strategy associate and AI-driven finance roles, among others.
Yes. Placement support runs from semester one through Recruiting Lab, mock interviews, resume guidance and end-to-end placement assistance.
IB firms, AMCs, PE and VC funds, equity research firms, Big 4 advisory, fintech companies and corporate finance teams across banking, consulting and startups.
A regular MBA in finance is broad by design. This PGP in finance is built end-to-end for core finance careers, with real models and deal work, AI in every semester, a FinTech track and recruiting support from semester one. You graduate with a portfolio, not just a transcript.
Yes. The program builds finance from the ground up in Semester 1. Many of the strongest students come from engineering and non-commerce backgrounds.
Unlike most PGDM in finance programs, this course has AI in finance built into every semester, a live internship in the final semester, a dedicated FinTech track and a curriculum that gets updated continuously rather than on a fixed university cycle.