

MBA in Banking Finance at Bhadra Institute of Management & Information Science Studies


Davangere, Karnataka
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About the Specialization
What is Banking & Finance at Bhadra Institute of Management & Information Science Studies Davangere?
This Finance specialization program at Bhadra Institute of Management & Information Studies focuses on equipping students with deep knowledge in financial markets, investment strategies, and corporate finance. Given India''''s burgeoning financial sector, from traditional banking to fintech startups, this program offers a robust curriculum to navigate complex financial landscapes and contribute to economic growth. It prepares students for diverse roles in the rapidly evolving Indian financial industry.
Who Should Apply?
This program is ideal for fresh graduates from commerce, management, or engineering backgrounds seeking entry into the finance industry. It also caters to working professionals aiming to upskill in areas like investment banking, wealth management, or financial analysis. Furthermore, it suits career changers aspiring to transition into core finance roles, provided they possess a strong aptitude for numbers and economic principles.
Why Choose This Course?
Graduates of this program can expect to pursue rewarding career paths in India such as Financial Analysts, Portfolio Managers, Investment Bankers, Risk Managers, and Wealth Managers. Entry-level salaries typically range from INR 4-7 lakhs per annum, with experienced professionals earning significantly more. The program aligns with certifications like CFA, NISM, and FRM, offering excellent growth trajectories in both Indian and multinational financial institutions operating in India.

Student Success Practices
Foundation Stage
Build Strong Quantitative and Analytical Foundations- (Semester 1-2)
Dedicate extra time to master subjects like Business Statistics and Analytics, Accounting for Managers, and Financial Management. Utilize online platforms like Coursera for basic finance/stats courses and NPTEL for IIT-level lectures to reinforce concepts. Join peer study groups to solve case studies and problems regularly.
Tools & Resources
Coursera, NPTEL, Microsoft Excel, Financial Calculators
Career Connection
A solid grasp of quantitative methods is crucial for all finance roles, forming the bedrock for advanced financial modeling and analysis required by top Indian companies and financial institutions.
Develop Financial News Literacy and Current Affairs Acumen- (Semester 1-2)
Regularly read leading financial newspapers (e.g., The Economic Times, Business Standard, Mint), business magazines (e.g., Business Today, Forbes India), and reputable financial news websites (e.g., Moneycontrol, Livemint). Participate in discussions on current economic events and policy changes specific to the Indian market.
Tools & Resources
The Economic Times, Moneycontrol.com, Livemint.com, BloombergQuint
Career Connection
Staying updated on financial news and economic trends is vital for finance professionals, demonstrating market awareness and analytical insight during interviews and in actual job roles in the dynamic Indian financial sector.
Master Spreadsheet and Presentation Tools- (Semester 1-2)
Become proficient in Microsoft Excel for data analysis and financial calculations, and PowerPoint for professional presentations. Take online tutorials or workshops focused on advanced Excel functions (VLOOKUP, Pivot Tables, financial functions) and effective presentation design to clearly convey complex financial information.
Tools & Resources
Microsoft Excel, Microsoft PowerPoint, YouTube Tutorials, Udemy Courses on Excel for Finance
Career Connection
These are indispensable tools in almost every finance job, from creating intricate financial models and performing data analysis to presenting impactful reports to clients or management in Indian corporate settings.
Intermediate Stage
Engage in NISM Certifications and Stock Market Simulations- (Semester 3)
Pursue certifications from the National Institute of Securities Markets (NISM), especially modules relevant to your specialization like Equity Derivatives, Mutual Funds, or Investment Advisory. Participate in virtual stock market games or build a dummy portfolio to apply theoretical knowledge in a simulated Indian market environment and test strategies.
Tools & Resources
NISM Certifications, Virtual Stock Trading Platforms (e.g., StockGro, Elearnmarkets mock trading)
Career Connection
NISM certifications are highly valued in the Indian financial services industry, and practical trading or investment experience showcases analytical and quick decision-making skills to potential employers.
Network with Industry Professionals and Attend Webinars- (Semester 3)
Actively connect with finance professionals via LinkedIn, attend industry webinars, virtual conferences, and guest lectures organized by the institute or other professional bodies in India. Seek mentorship opportunities and learn about career trajectories and required skills in specific finance domains within the Indian context.
Tools & Resources
LinkedIn, Industry-specific Webinars (e.g., by FICCI, CII, Financial Planners'''' Guild of India), Professional Bodies'''' Events
Career Connection
Networking is crucial for internships and placements. Industry insights gained are invaluable for understanding the real-world application of financial concepts and specific job roles within India''''s financial sector.
Undertake Mini Projects and Case Study Competitions- (Semester 3-4)
Apply theoretical knowledge by working on mini-research projects, analyzing financial statements of Indian companies, or participating in inter-college case study competitions focused on real-world financial problems. This helps in developing problem-solving, critical thinking, and teamwork skills essential for finance careers.
Tools & Resources
Annual Reports of Indian Listed Companies, Financial Databases (if available), Case Study Platforms
Career Connection
Practical project experience and success in competitions demonstrate initiative, analytical abilities, and teamwork, significantly boosting your resume and interview performance for finance roles in Indian firms.
Advanced Stage
Secure a Relevant Internship and Focus on Project Work- (Semester 4)
Actively seek and secure an internship in a financial institution (e.g., bank, wealth management firm, investment firm) during the final semester. Treat your Major Project as an opportunity to deep-dive into a specific area of finance, ensuring high-quality research and practical application, which is crucial for Indian industry relevance.
Tools & Resources
Institute''''s Placement Cell, LinkedIn, Company Career Portals, Faculty Advisors
Career Connection
Internships provide invaluable practical exposure to the Indian financial market and often lead to pre-placement offers. A well-executed project demonstrates expertise and research capability to potential employers.
Master Interview Skills and Behavioral Finance Concepts- (Semester 4)
Prepare thoroughly for job interviews by practicing common finance interview questions, technical concepts, and behavioral questions. Understand basic behavioral finance concepts to demonstrate a holistic view of financial decision-making, which is increasingly relevant in client-facing and advisory roles in India.
Tools & Resources
Mock Interviews with Mentors, Career Counselors, Online Interview Preparation Guides, Books on Behavioral Finance
Career Connection
Strong interview skills are paramount for converting opportunities into job offers. Understanding behavioral finance provides a competitive edge, especially in roles requiring client interaction or market analysis in India.
Develop a Professional Brand and Continuous Learning Plan- (Semester 4 and beyond)
Build a professional online presence (LinkedIn profile) showcasing skills, projects, and certifications. Plan for continuous learning by identifying advanced certifications or specialized courses post-MBA to stay relevant in the fast-evolving Indian financial landscape, such as FinTech, ESG investing, or advanced data analytics in finance.
Tools & Resources
LinkedIn, Industry Journals, Professional Development Platforms, Online Learning Providers
Career Connection
A strong professional brand and commitment to lifelong learning are critical for long-term career growth, leadership positions, and adapting to new trends and technologies in the Indian finance sector.
Program Structure and Curriculum
Eligibility:
- A candidate who has passed any recognized Bachelor’s Degree of minimum 3 years duration or equivalent examination and obtained an aggregate minimum of 50% marks (45% for SC/ST/Category-I of Karnataka candidates) in the qualifying examination, and has appeared for the prescribed entrance examination (PGET/CMAT/K-MAT etc.) and obtained a valid score.
Duration: 2 years (4 semesters)
Credits: 100 Credits
Assessment: Internal: 50%, External: 50%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA11 | Management and Organizational Behavior | Core | 4 | Introduction to Management, Planning and Organizing, Managerial Control, Organizational Behavior Fundamentals, Individual Behavior, Group Dynamics |
| 22MBA12 | Managerial Economics | Core | 4 | Introduction to Managerial Economics, Demand Analysis, Production and Cost Analysis, Market Structure, Pricing Practices, Macroeconomic Environment |
| 22MBA13 | Accounting for Managers | Core | 4 | Accounting Concepts, Financial Statements Analysis, Cost Accounting, Budgetary Control, Working Capital Management |
| 22MBA14 | Business Statistics and Analytics | Core | 4 | Introduction to Statistics, Probability Theory, Sampling and Estimation, Hypothesis Testing, Correlation and Regression, Introduction to Analytics |
| 22MBA15 | Marketing Management | Core | 4 | Marketing Fundamentals, Consumer Behavior, Market Segmentation, Product Decisions, Pricing Decisions, Promotion and Distribution |
| 22MBA16 | Business Law and Ethics | Core | 4 | Indian Contract Act, Sale of Goods Act, Consumer Protection Act, Company Law, Business Ethics, Corporate Governance |
| 22MBA17 | Research Methodology and IPR | Core | 4 | Business Research, Research Design, Data Collection, Sampling, Data Analysis, Research Report, Intellectual Property Rights |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA21 | Human Resource Management | Core | 4 | Introduction to HRM, HR Planning, Recruitment and Selection, Training and Development, Performance Management, Compensation Management |
| 22MBA22 | Financial Management | Core | 4 | Introduction to Financial Management, Capital Budgeting, Capital Structure, Working Capital Management, Dividend Decisions, Financial Markets |
| 22MBA23 | Operations Management | Core | 4 | Introduction to Operations Management, Facility Location and Layout, Production Planning and Control, Inventory Management, Quality Management, Supply Chain Management |
| 22MBA24 | Entrepreneurship and Innovation Management | Core | 4 | Entrepreneurship Fundamentals, Idea Generation and Opportunity Analysis, Business Plan Development, Funding for Startups, Innovation Process, Technology Management |
| 22MBA25 | Business Analytics and Digital Transformation | Core | 4 | Introduction to Business Analytics, Data Visualization, Predictive Analytics, Digital Transformation Strategies, E-commerce Business Models, Artificial Intelligence in Business |
| 22MBA26 | Strategic Management | Core | 4 | Strategy Formulation Process, Environmental Analysis, Strategic Alternatives, Strategy Implementation, Strategic Control and Evaluation |
| 22MBA27 | Management Information Systems and Cyber Security | Core | 4 | MIS Fundamentals, Database Management Systems, Enterprise Systems, E-commerce Security, Cyber Security Threats and Defenses, IT Act and Cyber Laws |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA31 | International Business | Core | 4 | Globalization and International Trade, International Trade Theories, Balance of Payments, Foreign Exchange Markets, International Marketing Strategies, Global Strategic Management |
| 22MBA32 | Corporate Social Responsibility and Sustainable Development | Core | 4 | CSR Concepts and Models, Stakeholder Management, Environmental Sustainability, Business Ethics and Governance, Green Marketing, Sustainable Development Goals |
| 22MBA33 | Startup Management and Incubation | Core | 4 | Startup Ecosystem, Idea Validation and Business Model Canvas, Funding Sources for Startups, Startup Incubation and Acceleration, Legal Aspects for Startups, Growth Hacking Strategies |
| 22MBA3FM1 | Investments and Portfolio Management | Elective (Finance Stream) | 4 | Investment Process, Risk and Return Analysis, Valuation of Securities, Modern Portfolio Theory, Capital Asset Pricing Model, Portfolio Performance Evaluation |
| 22MBA3FM2 | Financial Markets and Institutions | Elective (Finance Stream) | 4 | Indian Financial System Overview, Money Market Instruments, Capital Market Operations, Banking Sector Structure and Reforms, Non-Banking Financial Companies (NBFCs), SEBI Regulations |
| 22MBA3FM3 | Derivatives and Risk Management | Elective (Finance Stream) | 4 | Financial Risk Management, Derivatives Markets, Futures Contracts, Options Contracts, Swaps, Hedging Strategies |
| 22MBA3FM4 | Management of Financial Services | Elective (Finance Stream) | 4 | Merchant Banking, Mutual Funds Industry, Insurance Services, Factoring and Forfaiting, Credit Rating Agencies, Lease Financing |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 22MBA41 | Corporate Valuation and Restructuring | Core | 4 | Valuation Concepts, Approaches to Valuation, Mergers and Acquisitions, Divestitures and Demergers, Corporate Governance in Restructuring, Ethics in Valuation |
| 22MBA42 | Public Policy and Corporate Governance | Core | 4 | Public Policy Framework, Regulatory Environment for Business, Corporate Governance Principles, Role of Board of Directors, Stakeholder Engagement, Ethics in Governance |
| 22MBA43 | Comprehensive Viva-Voce | Core | 2 | Overall MBA Curriculum Concepts, Application of Management Concepts, Problem-Solving Skills, General Business Awareness, Communication Skills |
| 22MBA4FM5 | Project Management and Infrastructure Finance | Elective (Finance Stream) | 4 | Project Life Cycle, Project Appraisal Techniques, Risk Analysis in Projects, Infrastructure Financing Models, Public Private Partnerships (PPP), Project Cost Control |
| 22MBA4FM6 | International Financial Management | Elective (Finance Stream) | 4 | Global Financial Environment, Foreign Exchange Risk Management, International Capital Budgeting, International Working Capital Management, International Bond and Equity Markets, Multilateral Financial Agencies |
| 22MBA4FM7 | Financial Modelling and Econometrics | Elective (Finance Stream) | 4 | Financial Modelling Principles, Excel for Financial Modelling, Introduction to Econometric Models, Regression Analysis in Finance, Time Series Analysis, Financial Forecasting Techniques |
| 22MBA4FM8 | Wealth Management and Behavioral Finance | Elective (Finance Stream) | 4 | Wealth Management Process, Personal Financial Planning, Retirement and Estate Planning, Behavioral Biases in Finance, Prospect Theory, Client Psychology in Investing |
| 22MBAMP | Major Project/Internship | Project | 6 | Problem Identification and Formulation, Literature Review, Research Methodology, Data Analysis and Interpretation, Report Writing and Presentation, Project Implementation and Evaluation |




