

MBA in Finance at Aditya Institute of Management Studies and Research


Bengaluru, Karnataka
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About the Specialization
What is Finance at Aditya Institute of Management Studies and Research Bengaluru?
This Finance specialization program at Aditya Institute of Management Studies and Research focuses on equipping future leaders with in-depth knowledge and analytical skills vital for the dynamic Indian financial sector. It covers crucial areas like investment management, corporate finance, risk management, and financial markets, preparing students for diverse roles in a rapidly evolving economy driven by digitalization and global integration. The curriculum is designed to meet industry demands and regulatory changes in India.
Who Should Apply?
This program is ideal for fresh graduates from commerce, management, or related disciplines seeking entry into the finance industry. It also caters to working professionals aiming to upskill their financial acumen and advance their careers within Indian banks, financial institutions, or corporate finance departments. Individuals aspiring to become financial analysts, portfolio managers, investment bankers, or treasury managers in India will find this specialization particularly beneficial.
Why Choose This Course?
Graduates of this program can expect to pursue rewarding career paths such as Financial Analyst, Investment Banker, Portfolio Manager, Treasury Manager, or Risk Manager within leading Indian and international firms operating in India. Entry-level salaries typically range from INR 4-7 lakhs per annum, with experienced professionals earning significantly higher. The program also aligns with foundational knowledge for certifications like CFA and NISM, enhancing professional growth trajectories in the competitive Indian financial landscape.

Student Success Practices
Foundation Stage
Develop Strong Analytical & Quantitative Skills- (Semester 1-2)
Focus rigorously on core subjects like Business Statistics, Accounting for Managers, and Managerial Economics. Master concepts of financial statements, data interpretation, and fundamental statistical tools that form the bedrock of financial analysis.
Tools & Resources
Excel for data manipulation, Practice problems from textbooks, Online platforms like Khan Academy or NPTEL
Career Connection
A solid quantitative foundation is critical for future roles in financial analysis, equity research, and risk assessment, making you job-ready for analytical finance positions.
Cultivate Effective Communication & Business Acumen- (Semester 1-2)
Actively engage in class discussions, analyze business case studies, and collaborate on group projects to understand diverse business functions. Enhance corporate communication skills through formal presentations, report writing, and professional interactions.
Tools & Resources
Leading business and financial news publications (e.g., The Economic Times, Business Standard), Public speaking or debate clubs, LinkedIn for early professional networking
Career Connection
Strong business acumen combined with persuasive communication is vital for client interactions, team leadership, and effectively presenting financial insights in the corporate world.
Build Peer Networks & Seek Early Industry Insights- (Semester 1-2)
Form study groups for collaborative learning and diverse perspectives. Actively participate in college clubs like the Finance Club or Entrepreneurship Cell. Seek opportunities for informal industry interactions, guest lectures, or short informational interviews.
Tools & Resources
Attend industry talks and seminars organized by AIMS, Leverage alumni networks for mentorship opportunities
Career Connection
Early networking helps build professional relationships, gain insights into industry trends, and potentially discover mentors or future internship/job leads.
Intermediate Stage
Deep Dive into Finance Electives & Professional Certifications- (Semester 3)
Focus intensely on specialized Finance electives such as Investment Management, Corporate Taxation, Derivatives Management, and Financial Markets. Consider pursuing foundational modules of professional certifications like NISM or CFA Level 1 in parallel.
Tools & Resources
NISM study materials, Kaplan Schweser for CFA preparation, Financial news portals like Moneycontrol, Available financial databases or trading simulation platforms
Career Connection
In-depth specialization and external certifications provide a significant competitive edge, enhancing credibility and opening doors to niche finance roles in investment banking, asset management, and wealth management.
Engage in Applied Financial Projects & Competitions- (Semester 3)
Actively seek out industry-sponsored projects, live financial analysis assignments, and participate in finance-specific case study competitions. Apply theoretical knowledge to solve real-world financial problems and develop practical solutions.
Tools & Resources
Financial modeling software (advanced Excel, basic Python/R for financial data analysis), Financial databases (e.g., CMIE Prowess), Inter-college finance fests
Career Connection
Hands-on project experience and success in competitions demonstrate problem-solving skills and application-oriented knowledge, highly valued by recruiters in the finance sector.
Secure a Strategic Finance Internship- (Semester 3)
Actively search for and complete a meaningful internship in a finance-specific role (e.g., equity research, credit analysis, treasury, financial planning) during the summer break or within the semester. Focus on learning practical workflows and building a professional network.
Tools & Resources
Institute''''s placement cell, Online job portals (LinkedIn, Naukri, Internshala), Direct company applications, Resume and interview preparation resources
Career Connection
Internships provide invaluable hands-on experience, often leading to Pre-Placement Offers (PPOs) and significantly improving final placement prospects by demonstrating industry readiness and practical exposure.
Advanced Stage
Master Advanced Financial Analytics & Valuation- (Semester 4)
Refine skills in advanced financial modeling, complex valuation techniques (DCF, relative valuation), and sophisticated data analysis specific to finance. Learn to interpret and present intricate financial data for strategic decision-making and forecasting.
Tools & Resources
Advanced Excel for scenario and sensitivity analysis, Statistical software like R or Python libraries (Pandas, NumPy), Case studies from reputable sources
Career Connection
Proficiency in these advanced analytical tools is critical for high-impact roles in investment banking, private equity, portfolio management, and corporate finance, making you a highly sought-after professional.
Strategic Career Placement & Interview Preparation- (Semester 4)
Work intensively with the placement cell to identify target companies, roles, and tailor applications. Practice group discussions, technical finance interviews, and HR interviews rigorously. Develop a compelling professional narrative and elevator pitch.
Tools & Resources
Institute''''s placement resources, Mock interview sessions and resume review workshops, Online aptitude test platforms, Alumni network for insights and referrals
Career Connection
Comprehensive and strategic preparation maximizes your chances of securing desired placements in leading finance companies, ensuring a successful transition into your professional career.
Undertake a Capstone Research Project- (Semester 4)
Conduct a robust, in-depth research project or dissertation on a current and relevant finance topic. This demonstrates independent research capabilities, critical thinking, problem-solving, and advanced analytical skills crucial for leadership roles.
Tools & Resources
Academic databases (JSTOR, EBSCOhost), Statistical software (SPSS, R), Guidance from faculty mentors, Primary and secondary data collection techniques
Career Connection
A well-executed capstone project showcases specialized expertise and contributes to thought leadership in your chosen finance domain, differentiating you in interviews and supporting long-term career growth.
Program Structure and Curriculum
Eligibility:
- A candidate who has passed any Bachelor’s Degree examination of Bangalore University or any other University recognized as equivalent with an aggregate of 50% marks (45% in case of SC/ST and Category-I candidates) of Karnataka is eligible for admission to MBA programme.
Duration: 2 years (4 semesters)
Credits: 104 Credits
Assessment: Internal: 30%, External: 70%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 1.1 | Indian Business Environment | Core | 4 | Economic Reforms & Liberalization, Business Ethics & CSR, Political & Legal Environment, Technological Environment, SEZ and Industrial Policies |
| 1.2 | Organizational Behaviour | Core | 4 | Perception and Learning, Motivation Theories, Leadership Styles, Group Dynamics & Team Building, Stress Management |
| 1.3 | Accounting for Managers | Core | 4 | Financial Accounting Principles, Cost Accounting Concepts, Management Accounting Tools, Financial Statement Analysis, Budgetary Control |
| 1.4 | Business Statistics | Core | 4 | Probability Distributions, Sampling Methods, Hypothesis Testing, Correlation and Regression, Time Series Analysis |
| 1.5 | Managerial Economics | Core | 4 | Demand and Supply Analysis, Production and Cost Theory, Market Structures, Pricing Strategies, Profit Management |
| 1.6 | Marketing Management | Core | 4 | Marketing Mix (4Ps), Consumer Behaviour, Product Life Cycle, Pricing Decisions, Promotion and Distribution |
| 1.7 | Corporate Communication | Core | 4 | Principles of Communication, Business Etiquette, Report Writing, Presentation Skills, Cross-Cultural Communication |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 2.1 | Human Resource Management | Core | 4 | HR Planning and Recruitment, Selection and Induction, Training and Development, Performance Management, Compensation Management |
| 2.2 | Research Methodology | Core | 4 | Research Design, Data Collection Methods, Sampling Techniques, Data Analysis and Interpretation, Report Writing and Ethics |
| 2.3 | Financial Management | Core | 4 | Financial Planning & Forecasting, Capital Budgeting Decisions, Working Capital Management, Cost of Capital, Dividend Policy |
| 2.4 | Operations Management | Core | 4 | Production Planning and Control, Inventory Management, Quality Management, Supply Chain Management, Project Management |
| 2.5 | Entrepreneurship & Ethics | Core | 4 | Entrepreneurial Process, Business Plan Development, Startup Ecosystem in India, Ethical Dilemmas in Business, Corporate Governance |
| 2.6 | Quantitative Techniques for Management | Core | 4 | Linear Programming, Transportation and Assignment Problems, Network Analysis (CPM/PERT), Decision Theory, Simulation Techniques |
| 2.7 | Management Information Systems | Core | 4 | Information Systems Fundamentals, Database Management Systems, E-Business and E-Commerce, Decision Support Systems, IT Strategy and Governance |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 3.1 | Strategic Management | Core | 4 | Strategic Analysis and Formulation, Strategic Implementation, Corporate Strategy, Business Level Strategy, Strategic Control & Evaluation |
| 3.2 | International Business | Core | 4 | Globalization and Trade Theories, Foreign Exchange Markets, International Financial System, MNCs and International Marketing, Global Human Resource Management |
| 3.3.1 (FN) | Investment Management | Elective - Finance | 4 | Investment Environment, Risk and Return Analysis, Security Analysis (Equity & Debt), Portfolio Theory & Management, Mutual Funds and ETFs |
| 3.3.2 (FN) | Corporate Taxation & Planning | Elective - Finance | 4 | Income Tax Act Provisions, Corporate Tax Assessment, Goods and Services Tax (GST), Tax Planning Strategies, International Taxation Overview |
| 3.3.3 (FN) | Derivatives Management | Elective - Finance | 4 | Futures Contracts, Options Trading, Swaps and Other Derivatives, Hedging Strategies, Option Pricing Models |
| 3.3.4 (FN) | Financial Markets and Services | Elective - Finance | 4 | Money Market Instruments, Capital Market Operations, Banking and Insurance Services, Mutual Funds, Investment Banking and Broking |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 4.1 | Business Analytics | Core | 4 | Data Mining Techniques, Predictive Analytics, Business Intelligence, Big Data Concepts, Data Visualization |
| 4.2.1 (FN) | Financial Risk Management | Elective - Finance | 4 | Risk Identification and Measurement, Market Risk Management, Credit Risk Management, Operational Risk Management, Enterprise Risk Management (ERM) |
| 4.2.2 (FN) | International Financial Management | Elective - Finance | 4 | Foreign Exchange Market Operations, Exchange Rate Risk Management, International Capital Budgeting, Global Financing Decisions, Balance of Payments Implications |
| 4.2.3 (FN) | Wealth Management | Elective - Finance | 4 | Financial Planning Process, Investment Products for Wealth Creation, Retirement Planning, Estate Planning, Insurance Planning |
| 4.3 | Internship and Project Report | Project | 8 | Problem Identification and Formulation, Literature Review, Data Collection and Analysis, Report Writing and Presentation, Application of Management Concepts |




