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The first month (4 week) program provides the following real world experience:
Analysis of London stock exchange and New York stock exchange listed companies
Preparation of buy and sell side transaction pitches, teasers, and writing confidential investment memo
Excel Financial modeling and valuation of public listed companies by using "Comparable comps" method
Excel Financial modeling and valuation of public listed companies by using "Discounted cash flow" method
Excel Financial modeling and determination of the premium paid by buyer of the business by using "Transaction comps" method
Excel Financial modeling and leveraged buyout of the company by a Private Equity sponsor
Preparation of M&A transaction-ready model with Accretion/Dilution analysis of the deal
Board presentation and closing of investment banking transaction
The second month (4 week) program provides the following real world experience:
Benchmark and work on live transaction documents (teasers, CIM, valuation financial models)
Attend conference calls with senior management (CEO, CFOs)
Attend in-person meetings with board members of corporate clients
Attend transaction team strategy sessions
Learn legal documents of transactions
Learn live negotiation
Upon completion of this internship you will be able to handle any transaction issues in Investment Banks, Private Equity Firms and Hedge Funds as an Analyst or Associate. You will also receive a work experience statement on your CV and a reference report of your 2-month placement.