Program Overview

The Post Graduate Certificate Programme in Finance (PGCPF) is a customized,comprehensive & rigorous programme to prepare future banking and finance professionals. This programme not only provides participants with the knowledge of operational aspects of banking & finance but also helps in building managerial and technical skills. The programme offers a unique blend of Global Perspective in Banking & Finance with hands-on experience in practical aspects of the financial markets. Besides that, the Programme supplements with the background of the Indian economic environment and offers exposure to other functional areas of management.

ACE BLEND OF QUANTITATIVE TECHNIQUES AND QUALITATIVE PERSPECTIVES
PREPARES EXECUTIVES FOR SIGNIFICANT MANAGERIAL RESPONSIBILITIES
PROVIDES ADDITIONAL DYNAMIC SKILLS FOR EFFECTIVE MANAGEMENT

To Be Eligible For The Course, You Need

50% In UG/PG Of Any Discipline

2+ Yrs of experience or CA/ICWA/CS/CFA/CFP fresher

Program Objective

The Post Graduate Certificate Programme in Finance (PGCPF) provides customized, comprehensive & rigorous inputs to prepare future banking and finance professionals. This programme not only provides participants with the knowledge of operational aspects of banking & finance but also helps in building managerial and technical skills.

Program Takeaways

    • Understand the use of financial management frameworks and integrated business analysis towards organizational strategy.
    • Develop effective financial strategies across all business verticals.
    • Demonstrate how to apply financial tools, strategies, and frameworks to solve industry issues with effects that move through the economy and society
    • Get a holistic view of how to manage the functional area of Finance
    • Acquire knowledge on institutional management, M&As, Derivatives, etc.
    • Benefit from an in-campus module for 5 days
    • Quality interactions with faculty, experienced executives, and peer groups
    • IIM Indore Alumni status
    • Opportunity to learn from one of the top ten India B-school

Who Will Benefit?

This Programme is a judicious mix of quantitative techniques and qualitative perspectives of financial management. It is designed to benefit executives who have recently taken on or are being groomed to take on, significant managerial responsibilities in future. The Programme would draw upon the work experience of such executives and provide additional knowledge and skills, to make them effective managers on or are being groomed to take on, significant managerial responsibilities in future in the field of investment management.

What Does
This Program Cover?

    • Financial Reporting and Statement Analysis
    • Quantitative Techniques for Finance
    • Managerial Accounting
    • Financial Management I
    • Managerial Economics
    • Financial Management Il
    • Financial Markets, Institutions & Instruments
    • Spreadsheet Modelling for Finance
    • Investments Analysis
    • Marketing of Financial Products
    • Corporate Strategy
    • On-campus module

Why Should You
Invest In This Program?

  • Comprehensive, contemporary and contextual curriculum
  • Program delivered by IIM Indore expert faculties from the Finance domain area
  • In-depth knowledge of concepts and real-life applications of Finance / Commerce imparted along with practical case studies
  • Program has evolved over 5 Batches as per industry needs and requirements
  • Prepares future BFSI Professionals and Managers
  • Judicial mix of quantitative techniques and qualitative perspectives of Business Finance
  • Proven pedagogy

Campus Immersion

You will get 5 days (25 Session) of Intensive Learning at the IIM Indore campus situated atop a scenic hillock for contemplative learning.

Class Schedule & Delivery

Live 2 way interactive Lectures delivered by IIM Indore faculty over an HD Video. Conference Direct to Direct Platform every Sunday in 3 sessions, please find the timing below :

  • First session - 2:30 pm - 3:45 pm
  • Second session - 4:00 pm - 5:15 pm
  • Third session - 5:30 pm - 6:45 pm
  • Participants will be provided reading materials as and when required.
  • They may also interact with the concerned faculty through e-mails/ chat mode.

Eligibility Criteria

  • Diploma (10+2+3) or Bachelor's Degree or equivalent (10+2+3) or (10+2+4) or 2 years Master's Degree or equivalent from a recognized university (UGC/AICTE/DEC/AIU/State Government) in any discipline with minimum 50% aggregate marks of all the years.
  • Minimum 2 years of work experience is required post completion of qualifying education.
  • The partakers can also be CA/ICWA/CS/CFA/CFP freshers.

Evaluation & Certification

Performance of participants will be monitored on a continuous evaluation basis through quizzes, assignments, tests and examinations. The participant is required to score minimum marks/grades as decided by the Institute from time to time to complete the course.

Alumni Status

The participants who will complete the programme successfully will be eligible for the Executive Education Alumni status of IIM Indore. They will require to apply separately along with the necessary fee to register their name.

pedagogy

A judicious mix of lectures, case discussions, project work, term papers, and assignments etc.

The IIM Indore Advantage

  • IIM Indore Is Amongst The Top 5 IIMs In The Country And Is Amongst The Top 100 MBA - Schools Globally

  • Amongst 1 % MBA Schools Globally To Be Bestowed With The Prestigious ‘Triple Crown’ By Global MBA Institute Accreditation Bodies

Prof. Debashish Maitra

“Debasish Maitra is a Faculty in the area of Accounting and Finance. He is a fellow from the Institute of Rural Management Anand (IRMA), India. Prior to joining IIM Indore, he was with IMT-Ghaziabad.His research interests include the interplay between risk and bank performance during post financial crisis, commodity markets (development, co-movements with other markets and regulatory issues), volatility dynamics of markets, influence of macroeconomics on different asset markets, derivatives listing/delisting and its effects on stock returns, and non-linear relationships among factors affecting stock returns and volatility over different investment horizons.”

Evaluation & Certification

The methodology would include continuous evaluation through quizzes, assignments, tests, and examinations. Participants are required to score minimum marks/grades as decided by the Institute from time to time to complete the course.

Learn At Your Own Pace

Fees Structure

Fee Towards Deadline Amount
Commitment Fee On Acceptance of Offer Letter 10,000
Programme Fee (1 Instalment) Payable at the time of Admission 62,000
Programme Fee (2 Instalment) 2 months from Commencement of Batch 62,000
Programme Fee (3 Instalment) 4 Months from Commencement of Batch 62,000
Programme Fee (4 Instalment) 6 Months from Commencement of Batch 62,000
Programme Fee (5 Instalment) 8 Months from Commencement of Batch 62,000
Total Fees Excluding Application Fee & GST 3,20,000

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