Financial Analysis Internship in Kolkata
Step 1: Apply for your favorite Internship
After you apply, you will receive an offer letter instantly. No queues, no uncertainty—just a quick start to your career journey.
Step 2: Submit Your Task(s)
You will be assigned weekly tasks to complete. Submit them on time to earn your certificate.
Step 3: Your task(s) will be evaluated
Your tasks will be evaluated by our team. You will receive feedback and suggestions for improvement.
Step 4: Receive your Certificate
Once you complete your tasks, you will receive a certificate of completion. This certificate will be a valuable addition to your resume.
About this Internship
Learn financial statement analysis, financial ratios, company valuation, and investment research through practical work-from-home activities.
Tasks and Duties
Week 1-2: Financial Statement Analysis
Summary
Analyse the financial statements of a listed company and understand its financial position.
Objective
Task Objective: Analyse the financial statements of a listed company and understand its financial position.
Student Activities: 1.
Select one listed Indian company and download its latest annual report from a reliable public source.
2.
Study the balance sheet, profit and loss statement, and cash flow statement and identify the important financial figures.
3.
Prepare a simple table showing revenue, profit, assets, liabilities, operating cash flow, and other important figures.
4.
Explain what the financial statements indicate about the company performance, financial position, and cash generation.
Student Submission: Submit a 4-page Financial Statement Analysis Report in PDF format along with the Excel/Google Sheets file containing the collected figures.
Mode: This task can be completed remotely from home using publicly available information, spreadsheets, documents, presentation tools, or fictional business data where specified.
Week 3-4: Financial Ratio Analysis
Summary
Calculate and interpret important financial ratios using three years of company data.
Objective
Task Objective: Calculate and interpret important financial ratios using three years of company data.
Student Activities: 1.
Collect three years of financial information for the selected company.
2.
Calculate liquidity, profitability, solvency, and efficiency ratios using a spreadsheet.
3.
Compare the ratio movement across the three years and identify positive or negative trends.
4.
Compare selected ratios with one competitor and explain the major differences.
Student Submission: Submit the completed ratio-analysis spreadsheet and a 3-page interpretation report explaining the financial trends.
Mode: This task can be completed remotely from home using publicly available information, spreadsheets, documents, presentation tools, or fictional business data where specified.
Week 5-6: Company Valuation Exercise
Summary
Estimate the value of a company using multiple valuation approaches.
Objective
Task Objective: Estimate the value of a company using multiple valuation approaches.
Student Activities: 1.
Study comparable-company valuation and discounted cash flow valuation concepts.
2.
Select at least three comparable companies and calculate relevant valuation multiples.
3.
Prepare a simple DCF model using clearly stated revenue, margin, growth, and discount-rate assumptions.
4.
Compare the valuation results and explain why different methods may produce different values.
Student Submission: Submit the Excel valuation model and a valuation report containing assumptions, calculations, results, limitations, and conclusion.
Mode: This task can be completed remotely from home using publicly available information, spreadsheets, documents, presentation tools, or fictional business data where specified.
Week 7-8: Final Project: Equity Research Report
Summary
Combine the complete financial analysis into a professional academic equity-research style project.
Objective
Task Objective: Combine the complete financial analysis into a professional academic equity-research style project.
Student Activities: 1.
Prepare a company overview covering the business model, products, market, competitors, and major risks.
2.
Include the financial statement analysis, ratio analysis, and valuation work completed in the previous tasks.
3.
Prepare a clear investment-style conclusion supported by financial evidence and clearly mention that it is an academic exercise.
4.
Create a professional presentation summarising the company, financial performance, valuation, risks, and conclusion.
Student Submission: Submit a complete Final Project consisting of a 8–10 page PDF report, Excel financial model, and 8–10 slide PowerPoint presentation.
Mode: This task can be completed remotely from home using publicly available information, spreadsheets, documents, presentation tools, or fictional business data where specified.