×

Apply

now

Executive Certificate Programme in Corporate Financial Analysis & Risk Management

Reinforce your Financial Management Career with Corporate Financial Analysis and Financial Risk Management Skills. Earn an executive certificate from one of the eminent institutions of India.

In association with


Live Lectures
every weekend
Batch Start Date
Jun 30,2021


Suggested study
10-12 hrs/week
EMI Options
Starting at INR 8500/-

3rd among Indian Top B Schools
Financial Times Master in Management - Ranking 2020



Program Overview

The Course on Corporate Financial Analysis and Risk Management has been specially designed for working professionals in the corporate finance domain who wish to gain an understating of advance concepts and techniques required to solve complex financial challenges of an organization. The course is structured to expose the participants to factors affecting financial performance, modes of capital management, risk minimization strategies and guiding principles on investment decisions.

Admission Cycle Closing On
23rd June, 2021

Duration
6 Months

Last Date to Apply
20th Aug, 2021


Key Features

Designed for Working Professionals
Top Management Faculty
Certification from SPJIMR
+ 65 Hours of Live Sessions
150+ Hours of self-Learning Content
Case Based Pedagogy
Financial Analytics on R, Python, Excel, Stata & Eviews
SPJIMR Executive Alumni(optional)
Proficient in Financial Analytics & Analysis
No Cost EMI Options Available
Practical Hands-on Capstone Projects
Best Networking Opportunities
SPJIMR is 3rd Among Indian Top Business Schools - Financial Times Master In Management Ranking 2020
# 36 in the world - Financial Times Master in Management Ranking 2020
Advance Corporate Financial Transformation study

Program Overview

The Course on Corporate Finance, Risk & Analytics has been specially designed for working professionals in the corporate finance domain who wish to gain an understating of advance concepts and techniques required to solve complex financial challenges of an organization. The course is structured to expose the participants to factors affecting financial performance, modes of capital management, risk minimization strategies and guiding principles on investment decisions.

Starts On
Aug, 2021

Duration
6 Months

Last Date to Apply
20th Aug, 2021


Key Features



Designed for Working Professionals


Top Management Faculty


Certification from SPJIMR


+ 65 Hours of Live Sessions


150+ Hours of self-Learning Content


Case Based Pedagogy


Financial Analytics on R, Python, Excel, Stata & Eviews


SPJIMR Executive Alumni(optional)


Proficient in Financial Analytics & Analysis


No Cost EMI Options Available


Practical Hands-on Capstone Projects


Best Networking Opportunities


SPJIMR is 3rd Among Indian Top Business Schools - Financial Times Master In Management Ranking 2020

# 36 in the world - Financial Times Master in Management Ranking 2020

Advance Corporate Financial Transformation study


Who Is This Program for?

Aspirants seeking for career growth into Middle and Senior....Show More Financial Management Services. Professionals from Banking, Retail Investment, IT Professionals, Financial Services Product Managers, Entrepreneurs seeking for in-depth knowledge of Financial Management, Digital Transformation Consultants / Advisors. Show Less

What Will I Learn From the Program?

You will develop skills in demand as Corporate financial....Show More Analysis, Financial Data Analytics, Financial Risk Management, Technological Advancements, Advanced Concepts and Techniques required to solve complex financial challenges. Show Less



Why This Program Is Important For Me?

Embracing disruption examines the forces that are disrupting....Show More the role, structure, and competitive environment for financial institutions, ongoing technological advancements, Industry Revaluation are increasing demand for Financial Analysis / Analytics professionals. Show Less

What Are The Benefits Of Being Financial Analyst?

Rapidly advancing technologies, evolving customer expectations....Show More and a changing regulatory landscape are opening doors to disruptive innovation in financial services, Therefore Financial Analyst is most demanding professional in the new age finance industry. Show Less





Programming Languages and Tools Covered



Curriculum

Best-in-class content by leading Faculty and industry leaders in the form of videos, cases, projects and live classes

Term1
Term2
Term3
Term4
Term5
Term6
Term7

Corporate Finance / Financial Management
  • Financial Statements and their Analysis of Financial Performance
  • Risk and Return Analysis - Risk, Return and Time Value of Money
  • Capital and Business Funding Instruments
  • Financing Structure and Funding Choices
  • Evaluating Capital Investment & Project Financing Decisions
  • Risk Evaluation and Mitigation in Capital Investment Decisions
  • Working Capital Management
  • Corporate & Financial Restructuring
  • Financial Budgeting – Process & Evaluation
  • Responsibility Center Management & Transfer Pricing Decisions
  • Corporate Finance Aspects for International Business
  • Business Valuation and Valuation
  • Generating and utilizing cost-based information for Decision Making
  • Using Spreadsheets to Aid Financial Decision Making

Financial Modelling
  • Formatting Data
  • Using Slicers
  • Creating graphs
  • Functions and Formulas
  • Creating Workbooks
  • Using Cell Referencing

Statistical tools
  • Data Collection
  • Data Visualisation
  • Statistical Analysis
  • Probability and Statistics

Tools & Finance ERPS
  • R
  • Python
  • Stata
  • Eviews

Financial analytics & Case Studies
  • financial analytics, data interpretation and decision making
  • Predictive sales analytics
  • Client Profitability Analysis
  • Product profitability analytics
  • Cash-flow analytics
  • Value-driven analytics
  • Shareholder value analytics
  • Vertical analysis
  • Short-term analysis
  • Multi-company comparison
  • Industry comparison

Digital finance and Digital Money (DFDM)
  • Overview of Digital Finance
  • Overview of Fintech

Data Science & Machine Learning Basics
  • Credit Risk modelling
  • Computation and analysis of risk using programming


Curriculum

Best-in-class content by leading Faculty and industry leaders in the form of videos, cases, projects and live classes

MODULE 1: Financial Statements and their Analysis of Financial Performance

MODULE 2: Corporate Financial Risk and Return Analysis

MODULE 3: Evaluating Capital Investment & Project Financing Decisions

MODULE 4: Risk Evaluation and Mitigation in Capital Investment Decisions

MODULE 5: Process & Evaluation Analytics

MODULE 6: Financial analytics, data interpretation and decision making

MODULE 7: Predictive sales analytics, Client Profitability Analysis.

MODULE 8: Product profitability analytics, Cash-flow analytics.

MODULE 9: Value-driven analytic, Shareholder value analytics.

MODULE 10: Vertical analysis, Short-term analysis, Statistical Analysis.

MODULE 11: Data Science & Machine Learning Basics

MODULE 12: Credit Risk modelling

MODULE 13: Computation and analysis of risk using programming

MODULE 14: Applied Emerging Financial ERPS & Analytics Tools

MODULE 15: R, Pyhton,Stata, Eviews

MODULE 16: Overview of Digital Finance

MODULE 17: Overview of Fintech



Online Applications


Programme Faculty Panel

Instructor Vinay Goyal

Dr. Vinay Goyal

Program Director, Ph.D., CA, MBA

Dr. Vinay Goyal did Ph.D. from Indore University, FDP from IIM Ahmedabad, Diploma in IFRS from KPMG and a rank holder CA.
He has worked for seven years at IIM Raipur and three years at Goa Institute of management Goa. Dr. Goyal has more than 20 research papers in peer-reviewed journals and case publications in Ivey/Harvard cash publishing.

Instructor Raghu Iyer

Prof. Raghu Iyer

Professor, CA

Raghu Iyer is a fellow of the Institute of Chartered Accountants of India. He secured 4th rank in his Final CA examination on all India and 3rd rank in his Inter CA examination on all India basis.
Raghu Iyer is associated as Adjunct Faculty with SPJIMR & Great Lakes Institute of Management (Chennai) Raghu Iyer is also associated with The Bombay Stock Exchange and Dun & Bradstreet Financial Education Solutions.


  • Professionals need minimum 60% in overall assessments to obtain the certification.

  • 70% attendance in the live sessions is the minimum eligibility to obtain the certificate.

  • Professionals will gain theoretical & practical understanding of Corporate Financial Analysis & Risk Management with new emerging technologies and tools.
University of Washington Certificate Sample

  • Professionals need minimum 60% in overall assessments to obtain the certification.
  • 70% attendance in the live sessions is the minimum eligibility to obtain the certificate.
  • Professionals will gain theoretical & practical understanding of Corporate Corporate Financial Analysis & Risk Management with new emerging technologies and tools.
University of Washington Certificate Sample

Admission Timeline



Programme Fee

INR 70,000 (+ GST)

  Enrollment Fee - INR 23,333 (+ GST )

  Instalment 1 Fee – INR 23,333 (+ GST)

  Instalment 2 Fee – INR 23,333 (+ GST)


Admission Process



Online Application Open


Profile Shortlisting


Call Letter


Enrollment

I’m Interested in this Program


By clicking Apply Now, you agree to our terms and conditions and our privacy policy.




  • Interface with Industry Experts
  • Faculty with Rich Academic and Industry Experience
  • Comprehensive and rigorous programme from India's best Private Business School
  • Quality interactions with experienced executives and peer group learning


I’m Interested in this Program








By clicking Apply Now, you agree to our terms and conditions and our privacy policy.




Frequently Asked questions ❓

Answer: You will be awarded with an Executive Certificate in Corporate Financial Analysis & Risk Management from SPJIMR.

Answer: At least 10 hours per week of time commitment is expected to be able to graduate from the program.

Answer: The Program will cover insights from Demystifying Financial Analysis, Digital Finance & Digital Money, Financial Data Analytics, Financial Risk Analysis, Financial Risk Management, Financial Decision Making, Credit Risk modelling, profitability analytics, Cash flow analytics and more…

Answer: Valuation Consultant / Financial Planning Lead / Equity Research Analyst / Equity Market Analyst / Financial Analyst / Project Finance Manager / Mergers and Acquisitions Senior Analyst / Corporate Finance Lead / Business Valuation Consultant / Private Equity Finance Manager / Equity Analyst / Asset and Wealth Management Associate, Investment Banking, Commercial Banking, Corporate Finance, Financial Risk Management Professional and more…