

MBA in Finance at Anupama College of Management & Science


Bengaluru, Karnataka
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About the Specialization
What is Finance at Anupama College of Management & Science Bengaluru?
This Finance specialization program at Anupama College of Management & Science, following the Bengaluru City University curriculum, focuses on developing expertise in financial markets, investment management, corporate finance, and risk assessment. It is designed to equip students with analytical and decision-making skills crucial for the dynamic Indian financial sector, covering areas from traditional banking to emerging fintech trends. The program aims to create industry-ready financial professionals.
Who Should Apply?
This program is ideal for fresh graduates with a quantitative aptitude seeking entry into finance roles, working professionals looking to upskill in areas like investment banking or wealth management, and career changers transitioning into the financial industry. A strong academic background in commerce, economics, or any discipline with demonstrable analytical skills is beneficial, coupled with a keen interest in financial market dynamics.
Why Choose This Course?
Graduates of this program can expect to pursue diverse India-specific career paths such as financial analysts, investment bankers, portfolio managers, credit analysts, and risk managers in leading Indian and multinational financial institutions. Entry-level salaries typically range from INR 4-7 lakhs per annum, with experienced professionals earning significantly higher. The program also aligns foundational knowledge required for professional certifications like CFA, NISM, and FRM.

Student Success Practices
Foundation Stage
Build a Strong Quantitative Base- (Semester 1-2)
Focus rigorously on mastering subjects like Business Statistics and Accounting for Business Decisions. Utilize online resources like Khan Academy, NPTEL, and practice problem-solving daily to build a strong quantitative foundation essential for advanced finance concepts and data analysis.
Tools & Resources
Khan Academy, NPTEL lectures, Microsoft Excel, Textbook practice problems
Career Connection
Strong quantitative skills are non-negotiable for any finance role, enabling accurate financial modeling, valuation, and analysis, which are highly valued by recruiters for roles like financial analyst.
Develop Financial News Awareness- (Semester 1-2)
Cultivate a habit of reading financial newspapers (e.g., Economic Times, Business Standard) and reputable financial news websites daily. Understand current economic events, market trends, and their implications, discussing them with peers and faculty to deepen understanding and form informed opinions.
Tools & Resources
Economic Times, Livemint, Moneycontrol.com, BloombergQuint
Career Connection
Staying updated on market dynamics and economic indicators is crucial for interviews, demonstrating industry knowledge, and preparing for roles in investment analysis, research, or portfolio management.
Engage in Early Skill Building Workshops- (Semester 1-2)
Attend college workshops or online courses on essential tools like advanced Excel functions, pivot tables, and basic financial modeling. Participate in business quizzes and case competitions to apply theoretical knowledge, develop critical thinking, and enhance problem-solving abilities.
Tools & Resources
Microsoft Excel advanced courses, Coursera/Udemy for financial modeling, College''''s business clubs and competitions
Career Connection
Proficiency in Excel and fundamental modeling is a basic requirement across all finance roles, significantly boosting internship and placement prospects in various financial institutions.
Intermediate Stage
Deep Dive into Specialization Electives- (Semester 3)
Strategically choose Finance electives based on your career interests (e.g., Investment Management, Derivatives, Corporate Valuation). Actively engage in deeper research for each subject, forming study groups, and preparing for NISM or other relevant certifications to solidify specialized knowledge.
Tools & Resources
NISM certification modules, Bloomberg Terminal (if accessible), Specialized textbooks and journals
Career Connection
Specialized knowledge from electives is key for targeted finance roles and performing well in technical interviews for specific domains like equity research, wealth management, or corporate finance.
Seek Industry Internships- (Summer after Semester 2 / During Semester 3)
Proactively search for and secure a summer internship in a financial institution (banks, fintech firms, investment houses, consultancies) after Semester 2. Focus on gaining hands-on experience in financial analysis, market research, risk assessment, or corporate finance projects.
Tools & Resources
College placement cell, LinkedIn Jobs, Naukri.com, Professional networking events
Career Connection
Internships provide invaluable practical exposure, build industry contacts, and often lead to pre-placement offers, significantly improving employability and accelerating career entry.
Master Financial Software and Databases- (Semester 3)
Learn to use industry-standard software like Bloomberg Terminal (if available at college or through online resources), Eikon Refinitiv, and advanced statistical tools alongside Excel for financial modeling. Familiarize yourself with financial databases for data extraction and analysis relevant to your specialization.
Tools & Resources
Bloomberg Terminal (if accessible), Refinitiv Eikon (if accessible), Python/R for financial data analysis, Data analytics platforms
Career Connection
Proficiency in these tools is a major differentiator in the job market, making candidates job-ready for analytical and research-oriented roles immediately upon graduation.
Advanced Stage
Undertake a Comprehensive Project Work- (Semester 4)
Choose a challenging project in your area of finance specialization. Conduct thorough research, data collection, rigorous analysis, and present a professional report and presentation. This demonstrates your ability to apply learned concepts to real-world financial problems and contribute to industry knowledge.
Tools & Resources
Research databases (e.g., CMIE Prowess), Statistical software (SPSS, R, Python), Professional presentation software, Academic and industry journals
Career Connection
A well-executed project is a strong talking point in interviews, showcasing problem-solving skills, analytical prowess, independent research capabilities, and commitment to the finance field.
Intensive Placement Preparation & Mock Interviews- (Semester 4)
Actively participate in campus placement drives. Prepare extensively for aptitude tests, group discussions, and technical and HR interviews specific to finance roles. Conduct mock interviews with faculty, alumni, or career coaches focusing on finance-specific questions, case studies, and behavioral aspects.
Tools & Resources
Online aptitude platforms, Interview preparation guides (e.g., Wall Street Prep), College career services and alumni network, Finance interview question banks
Career Connection
Rigorous and targeted preparation significantly increases the chances of securing desirable placements in top financial firms, aligning with individual career aspirations and salary expectations.
Network Strategically & Seek Mentorship- (Semester 4)
Actively engage with alumni, industry professionals, and guest speakers through college events and professional platforms. Attend industry conferences, webinars, and networking events in Bengaluru. Seek mentorship from experienced professionals to gain insights into career paths, industry trends, and professional development.
Tools & Resources
LinkedIn professional networking platform, Industry events and conferences (e.g., FICCI, CII events), Alumni meet-ups and mentorship programs, Professional finance associations
Career Connection
Networking opens doors to hidden job opportunities, valuable career advice, and long-term professional relationships that can accelerate career growth and provide support throughout your professional journey.
Program Structure and Curriculum
Eligibility:
- Bachelor''''s degree from a recognized university with at least 50% aggregate marks (45% for SC/ST/Category-I). Must have qualified in KMAT/PGCET/CMAT/MAT/XAT/ATMA/CAT.
Duration: 2 years (4 semesters)
Credits: 92 Credits
Assessment: Internal: 40%, External: 60%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA101 | Management and Organizational Behavior | Core | 4 | Management Evolution, Planning and Decision Making, Organizational Structure, Personality and Perception, Motivation and Leadership, Group Dynamics and Team Building |
| 22MBA102 | Accounting for Business Decisions | Core | 4 | Financial Accounting Principles, Cost Accounting Concepts, Management Accounting, Financial Statement Analysis, Budgetary Control, Responsibility Accounting |
| 22MBA103 | Business Statistics | Core | 4 | Probability and Distributions, Sampling and Estimation, Hypothesis Testing, Correlation and Regression, Time Series Analysis, Decision Theory |
| 22MBA104 | Managerial Economics | Core | 4 | Demand and Supply Analysis, Production and Cost Theory, Market Structures and Pricing, Business Cycles, National Income and Fiscal Policy, Monetary Policy and Inflation |
| 22MBA105 | Marketing Management | Core | 4 | Marketing Mix and Environment, Consumer and Business Markets, Market Segmentation, Product Life Cycle and Branding, Pricing Strategies, Promotion and Distribution Channels |
| 22MBA106 | Business Law and Ethics | Core | 4 | Indian Contract Act, Companies Act, Consumer Protection Act, Environmental Law, Business Ethics, Corporate Governance and CSR |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA201 | Human Resources Management | Core | 4 | HR Planning and Job Analysis, Recruitment and Selection, Training and Development, Performance Appraisal, Compensation Management, Industrial Relations |
| 22MBA202 | Research Methodology | Core | 4 | Research Design, Data Collection Methods, Sampling Techniques, Data Analysis and Interpretation, Report Writing, Qualitative Research Methods |
| 22MBA203 | Financial Management | Core | 4 | Financial Objectives and Goals, Capital Budgeting Decisions, Working Capital Management, Cost of Capital, Capital Structure Theories, Dividend Policy |
| 22MBA204 | Operations Management | Core | 4 | Production Planning and Control, Inventory Management, Quality Management Systems, Project Management, Supply Chain Management, Lean and Agile Operations |
| 22MBA205 | Business Analytics and Business Intelligence | Core | 4 | Introduction to Business Analytics, Data Mining Techniques, Predictive Analytics, Data Visualization, Big Data Concepts, Business Intelligence Tools |
| 22MBA206 | Entrepreneurship and Innovation | Core | 4 | Entrepreneurial Process, Business Plan Development, Startup Ecosystem, Sources of Funding, Innovation Management, MSME Policies and Support |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA301 | Strategic Management | Core | 4 | Strategic Management Process, Environmental Analysis, Strategy Formulation, Strategy Implementation, Strategic Control, Corporate Governance |
| 22MBA302 | International Business | Core | 4 | Globalization and Trade Theories, International Economic Institutions, Foreign Direct Investment, International Financial Management, Global Marketing Strategies, Cross-Cultural Management |
| 22MBA303F | Investment Management | Elective (Finance) | 4 | Investment Environment, Risk and Return, Equity Valuation, Fixed Income Securities, Portfolio Theory and Management, Mutual Funds and ETFs |
| 22MBA304F | Corporate Valuation & Restructuring | Elective (Finance) | 4 | Valuation Approaches, Discounted Cash Flow Models, Relative Valuation, Mergers and Acquisitions, Divestitures and Spin-offs, Leveraged Buyouts |
| 22MBA305F | Derivatives Management | Elective (Finance) | 4 | Futures and Forwards, Options and Swaps, Hedging Strategies, Option Pricing Models, Credit Derivatives, Exotic Derivatives |
| 22MBA306F | Fixed Income Securities | Elective (Finance) | 4 | Bond Market Instruments, Bond Valuation and Yields, Interest Rate Risk, Duration and Convexity, Credit Risk Analysis, Securitization |
| 22MBA307F | Risk Management & Insurance | Elective (Finance) | 4 | Introduction to Risk Management, Enterprise Risk Management, Insurance Principles, Life Insurance Products, General Insurance Products, Reinsurance |
| 22MBA308F | Behavioural Finance | Elective (Finance) | 4 | Cognitive Biases, Emotional Biases, Heuristics in Decision Making, Prospect Theory, Market Anomalies, Investor Psychology |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA401 | Global Business Environment | Core | 4 | Global Economic Systems, International Trade Policies, Multilateral Trading System, Emerging Market Economies, Geopolitical Risk, Global Regulatory Frameworks |
| 22MBA402F | Financial Institutions & Markets | Elective (Finance) | 4 | Indian Financial System, Money Market, Capital Market, Banking Sector, NBFCs and Regulatory Bodies, Mutual Funds and Pension Funds |
| 22MBA403F | International Financial Management | Elective (Finance) | 4 | Foreign Exchange Markets, Exchange Rate Determination, Currency Derivatives, International Capital Budgeting, Multinational Working Capital, International Tax Environment |
| 22MBA404F | Financial Technology (FinTech) | Elective (Finance) | 4 | Digital Payments and Wallets, Blockchain and Cryptocurrencies, AI and Machine Learning in Finance, Robo-Advisors, Crowdfunding and P2P Lending, Regulatory Technology (RegTech) |
| 22MBA405F | Wealth Management | Elective (Finance) | 4 | Financial Planning Process, Investment Products for Wealth Creation, Retirement Planning, Estate Planning, Tax Planning Strategies, Client Relationship Management |
| 22MBA406F | Project Management & Infrastructure Finance | Elective (Finance) | 4 | Project Life Cycle, Project Appraisal Techniques, Sources of Project Finance, Public-Private Partnerships (PPP), Infrastructure Investment Funds, Risk in Project Finance |
| 22MBA407F | Mergers, Acquisitions & Corporate Governance | Elective (Finance) | 4 | M&A Strategies and Valuation, Deal Structuring and Financing, Post-Merger Integration, Corporate Governance Frameworks, Board of Directors Roles, Shareholder Activism |
| 22MBA408 | Project Work and Viva Voce | Project | 8 | Research Proposal Development, Data Collection and Analysis, Report Writing and Formatting, Presentation Skills, Viva Voce Examination, Ethical Considerations in Research |




