Master of Business Administration (MBA) – Finance
Program Details
MBA in Finance is a 2-year postgraduate program designed to develop expertise in financial management, investment analysis, banking, and corporate finance. The course equips students with analytical and managerial skills needed to handle financial planning, risk management, and decision-making in various business environments.
Program Highlights
- Comprehensive curriculum covering financial accounting, investment management, banking, and risk analysis
- Focus on real-world financial markets and instruments
- Case studies, simulations, and projects for practical learning
- Training in financial modeling, portfolio management, and corporate finance
- Exposure to emerging trends like FinTech, blockchain, and digital banking
- Soft skills development including communication and leadership
Future Scope / Industry Trends
With increasing complexity in global financial markets and technological disruption, skilled finance professionals are in high demand. Areas like investment banking, financial consulting, risk management, and financial analytics are growing rapidly. The rise of FinTech and blockchain technology is creating new opportunities for innovation in finance.
Career Opportunities
- Financial Analyst
- Investment Banker
- Risk Manager
- Portfolio Manager
- Corporate Finance Manager
- Financial Consultant
- Banking Officer
- Financial Planner
Placements
Graduates are recruited by banks, financial institutions, investment firms, consulting companies, and corporate finance departments. Average starting salary ranges from INR 5 to 12 lakhs per annum, depending on the institute and candidate profile. Internships and live projects enhance placement prospects.
Fee Structure
Year | Tuition Fees (INR) | Other Fees (INR) | Total Fees (INR) |
---|---|---|---|
1st Year | 1,80,000 | 25,000 | 2,05,000 |
2nd Year | 1,80,000 | 25,000 | 2,05,000 |
Total | 3,60,000 | 50,000 | 4,10,000 |
Curriculum
Semester | Subjects / Papers |
---|---|
1st Semester | Financial Accounting, Managerial Economics, Business Communication, Marketing Management, Quantitative Techniques |
2nd Semester | Corporate Finance, Financial Markets and Institutions, Business Law, Organizational Behavior, Operations Management |
3rd Semester | Investment Analysis and Portfolio Management, Risk Management, Taxation, Banking and Insurance |
4th Semester | Financial Modeling, Derivatives and Hedging, International Finance, Strategic Financial Management, Project Work / Internship |
Eligibility
Graduation with minimum 50% marks from a recognized university.
Valid scores in entrance exams like CAT, MAT, XAT, CMAT, or equivalent are usually required.
Work experience is advantageous but not mandatory.
Selection Criteria
- Entrance exam performance (CAT, MAT, XAT, CMAT, etc.)
- Group discussion and personal interview
- Academic record and relevant work experience (if any)
- Final merit list based on overall performance