

MBA in Banking Finance at Akash Global College of Management and Science


Bengaluru, Karnataka
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About the Specialization
What is Banking & Finance at Akash Global College of Management and Science Bengaluru?
This Banking & Finance specialization program at Akash Global College of Management and Science focuses on equipping students with expertise in financial markets, institutions, and services crucial for India''''s evolving economy. The curriculum covers core financial concepts, investment strategies, risk management, and the regulatory landscape, aligning with the dynamic requirements of the Indian banking and financial services sector. It emphasizes both theoretical knowledge and practical application relevant to the country''''s economic growth.
Who Should Apply?
This program is ideal for fresh graduates from commerce, management, or economics backgrounds seeking entry into India''''s robust financial sector. It also caters to working professionals aiming to upskill in areas like investment banking, wealth management, or financial analysis, potentially transitioning into higher roles. Individuals with a keen analytical mindset and interest in capital markets, fintech, and economic policy will find this specialization particularly rewarding.
Why Choose This Course?
Graduates of this program can expect diverse career paths in India, including roles as financial analysts, portfolio managers, investment bankers, credit managers, and wealth advisors in leading public and private banks, NBFCs, and fintech companies. Entry-level salaries typically range from INR 4-7 LPA, with experienced professionals earning significantly higher. The program enhances career growth trajectories by aligning with professional certifications like NISM and CFA, boosting employability in the Indian market.

Student Success Practices
Foundation Stage
Master Core Financial Concepts- (Semester 1-2)
Dedicate time to thoroughly understand fundamental concepts from Accounting for Managers, Financial Management, and Quantitative Techniques. Utilize online resources like NPTEL lectures, Khan Academy, and basic financial modeling tutorials to build a strong base.
Tools & Resources
NPTEL, Khan Academy Finance, Excel for basic financial modeling
Career Connection
A solid foundation is crucial for cracking placement interviews and excelling in subsequent specialized finance subjects. It demonstrates a strong grasp of business fundamentals.
Develop Strong Communication and Presentation Skills- (Semester 1-2)
Actively participate in group discussions, presentations, and case studies during Business Communication and Organisational Behaviour courses. Practice articulating financial concepts clearly and concisely, focusing on structured thinking and confident delivery.
Tools & Resources
Toastmasters International (local chapters), Online public speaking courses, Recorded practice sessions
Career Connection
Effective communication is paramount in finance roles for client interaction, team collaboration, and conveying complex data to non-finance stakeholders, directly impacting career progression.
Network and Explore Industry Insights- (Semester 1-2)
Attend webinars, industry talks, and guest lectures organized by the college or industry bodies. Connect with alumni and financial professionals on platforms like LinkedIn to understand industry trends and potential career paths in India''''s banking and finance sector.
Tools & Resources
LinkedIn, Industry event calendars (e.g., FICCI, CII events), College alumni network portals
Career Connection
Early networking can lead to internship opportunities, mentorship, and a better understanding of industry expectations, providing a competitive edge in placements.
Intermediate Stage
Engage with Financial Markets Practically- (Semester 3)
Apply theoretical knowledge from Investment Management and Financial Markets to real-world scenarios. Open a demat account (if permissible), follow market news, and participate in virtual stock trading competitions. Analyze company financial statements from BSE/NSE websites.
Tools & Resources
NSE India, BSE India, Moneycontrol.com, Zerodha Varsity (for learning)
Career Connection
Hands-on experience significantly boosts understanding and makes students more attractive to employers, especially in roles related to investment analysis, portfolio management, and trading.
Pursue Industry-Relevant Certifications- (Semester 3)
Begin preparing for certifications like NISM (National Institute of Securities Markets) modules, particularly those relevant to your chosen sub-specialization within Banking & Finance (e.g., Equity Derivatives, Mutual Funds). These certifications are highly valued in the Indian financial industry.
Tools & Resources
NISM study material and mock tests, Online prep platforms (e.g., EduPristine, ProSchool)
Career Connection
Certifications validate specialized knowledge, enhance credibility, and demonstrate commitment to the field, often serving as a prerequisite for certain roles in Indian brokerage firms and asset management companies.
Undertake Mini Projects and Case Studies- (Semester 3)
Work on mini-projects related to corporate finance, risk analysis, or banking operations using publicly available company data. Participate in finance-focused case study competitions or hackathons. This helps in practical application of concepts like Financial Derivatives and Corporate Restructuring.
Tools & Resources
Company annual reports, RBI data, Business case study repositories, Financial modeling software (e.g., Microsoft Excel, Google Sheets)
Career Connection
Practical projects build problem-solving skills, improve analytical capabilities, and provide tangible examples to showcase during interviews, making you a more desirable candidate for Indian finance roles.
Advanced Stage
Intensive Placement Preparation and Skill Refinement- (Semester 4)
Focus on interview preparation, resume building, and mock interviews, especially for roles in investment banking, financial analysis, and wealth management. Refine skills in advanced Excel, financial modeling, and data analysis using tools like R or Python, relevant for Business Analytics and FinTech.
Tools & Resources
College career services, Online interview platforms (e.g., PrepInsta, InterviewBit), Coursera/edX courses on Advanced Excel/Python for Finance
Career Connection
Comprehensive preparation is key to securing top placements in competitive Indian finance firms, ensuring you can articulate your skills and knowledge effectively.
Complete a High-Impact Dissertation/Project- (Semester 4)
Choose a dissertation topic in Banking & Finance that addresses a current industry problem or explores an emerging trend (e.g., impact of UPI on banking, application of AI in wealth management). Ensure thorough research, rigorous analysis, and a well-structured report for your Project Report and Viva Voce.
Tools & Resources
Academic databases (JSTOR, Google Scholar), Industry reports (Deloitte, PwC, KPMG), Statistical software (SPSS, R, Python)
Career Connection
A strong dissertation demonstrates independent research capabilities, critical thinking, and a deep understanding of a specialized area, often serving as a key talking point in interviews.
Stay Updated with Regulatory and Technological Changes- (Semester 4)
Regularly follow news from RBI, SEBI, and IRDAI to understand policy changes affecting the financial sector. Keep abreast of FinTech developments, including blockchain, AI, and digital payment systems. Subscribe to financial news outlets and industry newsletters.
Tools & Resources
RBI website, SEBI website, Economic Times, Livemint, FinTech newsletters
Career Connection
Staying current with the Indian financial landscape and technological advancements is vital for long-term career success, showing adaptability and foresight in a rapidly evolving industry.
Program Structure and Curriculum
Eligibility:
- Bachelor''''s Degree with minimum 50% aggregate marks (45% for SC/ST/Cat-I) from a recognized university. Must have appeared for PGCET/CMAT/KMAT/MAT/XAT/ATMA/CAT or any other equivalent entrance examination.
Duration: 2 years / 4 semesters
Credits: 100 Credits
Assessment: Internal: 40%, External: 60%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA101 | Organisational Behaviour | Core | 4 | Foundations of OB, Individual Behaviour (Perception, Learning, Personality), Motivation Theories, Leadership and Power, Group Dynamics and Teamwork, Organizational Culture and Change |
| 22MBA102 | Managerial Economics | Core | 4 | Basic Economic Concepts, Demand and Supply Analysis, Production and Cost Analysis, Market Structures and Pricing, Macroeconomic Indicators, Business Cycles |
| 22MBA103 | Accounting for Managers | Core | 4 | Financial Accounting Concepts, Journal, Ledger, Trial Balance, Preparation of Final Accounts, Cost Accounting Basics, Budgetary Control, Fund Flow and Cash Flow Statements |
| 22MBA104 | Quantitative Techniques for Management | Core | 4 | Probability and Probability Distributions, Sampling and Estimation, Hypothesis Testing, Correlation and Regression, Linear Programming, Decision Theory and Game Theory |
| 22MBA105 | Legal Aspects of Business | Core | 4 | Indian Contract Act, Sale of Goods Act, Negotiable Instruments Act, Companies Act (Basics), Consumer Protection Act, Intellectual Property Rights |
| 22MBA106 | Business Communication | Core | 4 | Communication Process and Barriers, Types of Communication, Oral and Written Communication Skills, Business Correspondence, Presentation Skills, Report Writing |
| 22MBA107 | Entrepreneurship and Start-up Management | Core | 4 | Concept of Entrepreneurship, Business Plan Development, Sources of Funding for Start-ups, Legal and Regulatory Aspects, Innovation and Creativity, Incubation and Mentorship |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA201 | Human Resource Management | Core | 4 | HR Functions and Policies, Human Resource Planning, Recruitment and Selection, Training and Development, Performance Appraisal and Management, Compensation and Benefits |
| 22MBA202 | Marketing Management | Core | 4 | Marketing Concepts and Environment, Market Segmentation and Targeting, Product Life Cycle and Strategies, Pricing Strategies, Promotion Mix, Distribution Channels and Logistics |
| 22MBA203 | Financial Management | Core | 4 | Financial Goals and Functions, Capital Budgeting Decisions, Working Capital Management, Cost of Capital, Capital Structure Theories, Dividend Policy |
| 22MBA204 | Research Methodology | Core | 4 | Research Design and Process, Sampling Techniques, Data Collection Methods, Scaling Techniques, Data Analysis and Interpretation, Report Writing and Presentation |
| 22MBA205 | Operations Management | Core | 4 | Production Systems and Design, Facility Location and Layout, Inventory Management, Quality Management and Control, Supply Chain Management, Project Management Techniques |
| 22MBA206 | Corporate Social Responsibility and Business Ethics | Core | 4 | Concepts of CSR and Business Ethics, Corporate Governance Principles, Stakeholder Management, Ethical Dilemmas in Business, Sustainability Reporting, Environmental Responsibility |
| 22MBA207 | Digital Business and e-Commerce | Core | 4 | Digital Business Models, e-Commerce Platforms, Digital Marketing Strategies, Cybersecurity in Digital Business, Online Payment Systems, Emerging Technologies in Digital Business |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA301 | Strategic Management | Core | 4 | Strategic Management Process, Environmental Analysis (PESTEL, Porter''''s Five Forces), Strategy Formulation (Corporate, Business, Functional), Strategy Implementation, Strategic Control and Evaluation, Corporate Governance and Ethics in Strategy |
| 22MBA302 | Cross-Cultural Management | Core | 4 | Concept of Culture and Dimensions, Impact of Culture on Business, Cross-Cultural Communication, Global Leadership, Managing Cultural Diversity, Ethical Issues in Cross-Cultural Context |
| 22MBA303FM | Financial Markets and Services | Elective - Finance Specialization | 4 | Indian Financial System Overview, Money Market and Capital Market Instruments, Regulatory Bodies (SEBI, RBI), Mutual Funds and Investment Banking, Stock Market Operations, Leasing, Factoring, and Venture Capital |
| 22MBA304FM | International Financial Management | Elective - Finance Specialization | 4 | Foreign Exchange Market, Exchange Rate Determination Theories, International Parity Conditions, Management of Transaction Exposure, Multinational Capital Budgeting, International Debt and Equity Markets |
| 22MBA305FM | Investment Management | Elective - Finance Specialization | 4 | Investment Environment and Process, Risk and Return Analysis, Modern Portfolio Theory, Equity Valuation Models, Bond Valuation and Management, Derivatives in Investment Management |
| 22MBA306FM | Financial Derivatives | Elective - Finance Specialization | 4 | Forwards and Futures Contracts, Options: Calls and Puts, Swaps and their Applications, Hedging Strategies using Derivatives, Pricing of Options and Futures, Regulatory Framework for Derivatives |
| 22MBA307FM | Corporate Restructuring | Elective - Finance Specialization | 4 | Mergers and Acquisitions, Divestitures and Demergers, Takeovers and Hostile Bids, Valuation of Mergers and Acquisitions, Funding of Mergers and Acquisitions, Post-Merger Integration |
| 22MBA308FM | Banking and Financial Systems | Elective - Finance Specialization | 4 | Commercial Banking Operations, Central Banking and Monetary Policy, Non-Banking Financial Companies (NBFCs), Digital Banking and Fintech Innovations, Banking Sector Reforms in India, Risk Management in Banking |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA401 | Business Analytics | Core | 4 | Introduction to Business Analytics, Data Mining and Data Warehousing, Predictive Analytics Models, Data Visualization Techniques, Big Data Analytics Concepts, Decision Support Systems |
| 22MBA402FM | Risk Management and Insurance | Elective - Finance Specialization | 4 | Fundamentals of Risk Management, Types of Risks (Financial, Operational, Strategic), Risk Measurement and Mitigation Techniques, Principles of Insurance, Life Insurance and General Insurance Products, Regulatory Environment of Insurance Sector |
| 22MBA403FM | Behavioural Finance | Elective - Finance Specialization | 4 | Foundations of Behavioural Finance, Cognitive Biases and Heuristics, Prospect Theory, Market Anomalies, Investor Psychology, Emotional Factors in Decision Making |
| 22MBA404FM | Wealth Management | Elective - Finance Specialization | 4 | Financial Planning Process, Goal-Based Investing, Retirement Planning, Estate Planning, Tax Planning Strategies, Portfolio Management for Individuals |
| 22MBA405FM | Project Management | Elective - Finance Specialization | 4 | Project Life Cycle, Project Planning and Scheduling, Resource Allocation and Budgeting, Project Risk Management, Project Monitoring and Control, Project Evaluation and Closure |
| 22MBA406FM | Financial Technology (FinTech) | Elective - Finance Specialization | 4 | Introduction to FinTech, Blockchain and Cryptocurrencies, Artificial Intelligence in Finance, Robo-Advisory and Automated Investing, Peer-to-Peer Lending, Mobile Banking and Payment Systems |
| 22MBA407FM | Entrepreneurial Finance | Elective - Finance Specialization | 4 | Sources of Capital for Start-ups, Venture Capital and Angel Investing, Crowdfunding, Valuation of New Ventures, Initial Public Offerings (IPOs), Debt Financing for Entrepreneurs |
| 22MBAPR408 | Project Report and Viva Voce | Project | 8 | Problem Identification and Literature Review, Research Design and Methodology, Data Collection and Analysis, Interpretation of Findings, Report Writing and Formatting, Viva Voce Preparation and Presentation |




