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MBA in Finance at CHRIST (Deemed to be University)

Christ University, Bengaluru is a premier institution located in Bengaluru, Karnataka. Established in 1969, it is recognized as a Deemed to be University. Known for its academic strength across diverse disciplines, the university offers over 148 undergraduate, postgraduate, and doctoral programs. With a vibrant co-educational campus spread over 148.17 acres, it fosters a dynamic learning environment and boasts strong placements.

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Bengaluru, Karnataka

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About the Specialization

What is Finance at CHRIST (Deemed to be University) Bengaluru?

This MBA Finance program at CHRIST, Bengaluru, focuses on developing analytical and strategic financial skills crucial for modern business. It emphasizes a blend of theoretical knowledge and practical application, preparing students for dynamic roles in India''''s rapidly growing financial sector. The curriculum is designed to meet the demands of global financial markets while addressing specific Indian economic contexts and regulatory frameworks, fostering innovation and ethical practices.

Who Should Apply?

This program is ideal for fresh graduates with a strong quantitative aptitude seeking entry into finance, as well as working professionals aiming to upskill or transition into advanced financial roles. Individuals from commerce, engineering, or science backgrounds who aspire to excel in corporate finance, investment banking, or financial analytics within India will find this program highly beneficial. A foundational understanding of economics and mathematics is advantageous.

Why Choose This Course?

Graduates of this program can expect diverse career paths in India, including roles as financial analysts, portfolio managers, investment bankers, and risk managers. Entry-level salaries typically range from INR 5-8 lakhs per annum, with experienced professionals earning upwards of INR 15-30 lakhs, depending on the role and company. The program aligns with certifications like CFA and FRM, offering a strong base for professional growth in leading Indian financial institutions and MNCs.

Student Success Practices

Foundation Stage

Develop Strong Analytical & Quantitative Skills- (Semester 1-2)

Focus on mastering foundational subjects like Quantitative Techniques, Financial Accounting, and Managerial Economics. Regularly solve case studies and problems, and utilize online resources to strengthen conceptual understanding, crucial for finance roles.

Tools & Resources

NPTEL courses, Coursera''''s ''''Introduction to Financial Accounting'''' or ''''Business Analytics'''' courses, Khan Academy for mathematics, Study groups

Career Connection

A solid analytical base is crucial for all finance roles, enabling data-driven decision-making and problem-solving, which are highly valued in the Indian job market.

Cultivate Effective Communication & Networking- (Semester 1-2)

Participate actively in classroom discussions, group projects, and presentations to hone business communication skills. Attend webinars, guest lectures, and alumni events to start building a professional network within the Indian finance industry.

Tools & Resources

LinkedIn for professional networking, Toastmasters International for public speaking, CHRIST University career services events

Career Connection

Strong communication and a robust network are vital for securing internships and placements, especially in client-facing roles or during job interviews at Indian firms.

Explore Financial Concepts and Industry Trends- (Semester 1-2)

Read financial newspapers (e.g., The Economic Times, Business Standard), magazines, and reputable online financial portals regularly. Start understanding basic market terminology and current events relevant to the Indian economy and global finance.

Tools & Resources

Moneycontrol.com, Livemint.com, Investopedia, RBI and SEBI websites for regulatory updates

Career Connection

Early exposure to financial news helps develop market acumen, aids in choosing a specialization, and provides valuable talking points for interviews.

Intermediate Stage

Deep Dive into Finance Specializations and Certifications- (Semester 3-4)

Systematically study core finance electives like Investment Analysis, Derivatives, and Corporate Restructuring. Consider preparing for entry-level financial certifications like NISM modules, or begin studying for CFA Level 1 to complement academic learning.

Tools & Resources

NISM study materials, CFA Institute curriculum, Kaplan Schweser notes, Online mock tests

Career Connection

Demonstrating specialized knowledge and pursuing certifications significantly enhances employability for finance-specific roles in Indian investment banks, mutual funds, and consultancies.

Gain Practical Experience Through Internships and Projects- (Semester 3-4)

Actively seek and complete meaningful summer internships in financial institutions or corporate finance departments. Engage in live projects or case competitions focused on financial modeling, valuation, or risk analysis.

Tools & Resources

Internshala, LinkedIn Jobs, College placement cell, Financial modeling software (e.g., Excel, R/Python for basic analytics)

Career Connection

Practical exposure is critical for understanding real-world financial challenges in India, building a strong resume, and often leading to pre-placement offers.

Enhance Software Proficiency for Financial Analysis- (Semester 3-4)

Learn and practice using essential financial software and tools. This includes advanced Excel for financial modeling, basic data analysis in Python/R, and familiarity with financial databases like Bloomberg Terminal (if available) or Eikon.

Tools & Resources

Udemy/Coursera Excel courses, Python for Finance tutorials, DataCamp, Trial versions of financial analysis software

Career Connection

Proficiency in these tools is a non-negotiable skill for financial analysts, portfolio managers, and risk analysts in today''''s Indian financial landscape.

Advanced Stage

Master Advanced Financial Concepts for Dissertation- (Semester 4)

Conduct in-depth research for your dissertation on a cutting-edge finance topic (e.g., Fintech, ESG investing, advanced risk modeling) relevant to the Indian context. This involves rigorous data collection, analysis, and academic writing.

Tools & Resources

JSTOR, Google Scholar, University library databases, Statistical software (SPSS, EViews, R), Mentorship from faculty

Career Connection

A well-executed dissertation showcases advanced analytical skills, specialized knowledge, and research capabilities, differentiating you in the competitive Indian job market.

Focused Placement Preparation and Mock Interviews- (Semester 4)

Systematically prepare for placement interviews by practicing technical finance questions, behavioral questions, and case studies. Participate in mock interview sessions with career services and alumni to refine your responses and presentation.

Tools & Resources

Placement cell resources, Glassdoor for company-specific interview questions, Interview prep books, Alumni network

Career Connection

Through preparation is key to converting interviews into job offers at top-tier banks, asset management firms, and consultancies across India.

Develop Leadership and Ethical Decision-Making- (Semester 3-4)

Take on leadership roles in student clubs, organize finance-related events, and participate in business competitions. Emphasize ethical considerations in all academic and practical applications, reflecting industry standards.

Tools & Resources

Student leadership forums, National business competitions (e.g., IIM/IIT organized), Case study challenges

Career Connection

Leadership and ethical grounding are critical for long-term career progression and building a trustworthy professional brand in the Indian financial sector.

Program Structure and Curriculum

Eligibility:

  • A candidate who has passed any Undergraduate degree examination with 50% aggregate marks from any recognised University in India or abroad. Students appearing for the final year examination can also apply. A score of 60 percentile or above in CAT/MAT/XAT/ATMA/CMAT/GMAT/GRE is required.

Duration: 2 years / 4 semesters

Credits: 97 Credits

Assessment: Internal: 50%, External: 50%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
MBAN131Management and Organisational BehaviourCore3Management Concepts, Organizational Structure, Leadership Theories, Motivation and Group Dynamics, Human Resource Functions
MBAN132Managerial EconomicsCore3Demand and Supply Analysis, Production and Cost Theory, Market Structures and Pricing Strategies, Macroeconomic Indicators, Business Cycles
MBAN133Financial Accounting and ReportingCore3Accounting Principles and Standards, Financial Statement Analysis, Cash Flow Statements, Costing Methods, Budgeting and Control
MBAN134Quantitative Techniques for ManagementCore3Probability and Distributions, Hypothesis Testing, Regression and Correlation Analysis, Decision Theory, Linear Programming
MBAN135Marketing ManagementCore3Marketing Mix, Consumer Behaviour, Market Segmentation and Targeting, Product and Brand Management, Pricing and Promotion Strategies
MBAN136Business CommunicationCore3Verbal and Non-Verbal Communication, Business Correspondence, Presentation Skills, Report Writing, Cross-Cultural Communication
MBAN137Business Laws and EthicsCore3Indian Contract Act, Company Law, Consumer Protection Act, Cyber Law, Ethical Frameworks in Business, Corporate Governance

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
MBAN231Operations and Supply Chain ManagementCore3Production Planning and Control, Inventory Management, Quality Management, Supply Chain Design, Logistics and Warehousing, Lean Operations
MBAN232Financial ManagementCore3Capital Budgeting, Working Capital Management, Cost of Capital, Capital Structure Theories, Dividend Policy Decisions, Leverage Analysis
MBAN233Human Resource ManagementCore3HR Planning and Recruitment, Training and Development, Performance Appraisal, Compensation and Benefits, Industrial Relations, Employee Grievance Handling
MBAN234Business Research MethodsCore3Research Design, Sampling Techniques, Data Collection Methods, Questionnaire Design, Data Analysis and Interpretation, Report Writing
MBAN235Management Information SystemsCore3Information Systems Fundamentals, Database Management Systems, Enterprise Resource Planning (ERP), Customer Relationship Management (CRM), E-Business and E-commerce, IT Security
MBAN236Macroeconomics and Indian EconomyCore3National Income Accounting, Inflation and Unemployment, Monetary and Fiscal Policies, Balance of Payments, Economic Reforms in India, Sectoral Performance of Indian Economy
MBAN237Entrepreneurship and InnovationCore3Entrepreneurial Process, Business Plan Development, Venture Capital and Funding, Innovation Strategies, Startup Ecosystem in India, Social Entrepreneurship

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
MBAN331Strategic ManagementCore3Strategic Analysis, Strategy Formulation, Strategy Implementation and Evaluation, Corporate Governance, Competitive Advantage, Business Ethics and CSR
MBAN332Business AnalyticsCore3Data Visualization, Predictive Modeling, Prescriptive Analytics, Big Data Concepts, Machine Learning in Business, Data-driven Decision Making
MBAN371Summer Internship Project (SIP)Core6Problem Identification and Scoping, Data Collection and Analysis, Solution Development, Report Writing and Presentation, Industry Exposure, Application of Management Theories
MBFN301Investment Analysis & Portfolio ManagementElective - Finance3Risk and Return Analysis, Equity Valuation Models, Bond Valuation and Analysis, Modern Portfolio Theory, Asset Allocation Strategies, Mutual Funds and Hedge Funds
MBFN302Financial Derivatives & Risk ManagementElective - Finance3Forwards and Futures, Options Pricing Models, Swaps and Interest Rate Derivatives, Hedging Strategies, Value at Risk (VaR), Credit Risk Management
MBFN303Corporate Restructuring & ValuationsElective - Finance3Mergers and Acquisitions, Divestitures and Spin-offs, Leveraged Buyouts (LBOs), Business Valuation Techniques, Synergy Valuation, Regulatory Aspects of M&A
MBFN304International Financial ManagementElective - Finance3Foreign Exchange Markets, Exchange Rate Risk Management, International Capital Budgeting, Multinational Corporate Financing, Global Financial Crises, International Parity Conditions
MBFN305Financial Institutions & MarketsElective - Finance3Banking System in India, Capital Market Instruments, Money Market Operations, Regulatory Bodies (SEBI, RBI), Insurance Companies, Non-Banking Financial Companies (NBFCs)
MBFN306Fixed Income SecuritiesElective - Finance3Bond Characteristics and Valuation, Yield Curves and Term Structure, Interest Rate Risk Management, Bond Portfolio Strategies, Securitization, Debt Market in India

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
MBAN471DissertationCore10Research Problem Formulation, Literature Review, Research Methodology Design, Data Analysis and Interpretation, Findings and Conclusions, Academic Writing and Presentation
MBFN401Strategic Financial ManagementElective - Finance3Shareholder Value Creation, Advanced Capital Structure Decisions, Working Capital Strategies, Financial Planning and Forecasting, Corporate Financial Restructuring, Value Based Management
MBFN402Behavioral FinanceElective - Finance3Cognitive Biases and Heuristics, Prospect Theory, Market Anomalies, Investor Psychology, Behavioral Portfolio Theory, Neurofinance
MBFN403Wealth Management & Financial PlanningElective - Finance3Personal Financial Planning Process, Investment Products and Strategies, Retirement Planning, Insurance Planning, Estate Planning and Succession, Tax Planning in India
MBFN404Fintech and Digital FinanceElective - Finance3Blockchain and Cryptocurrencies, Artificial Intelligence in Finance, Digital Payments and Wallets, Robo-Advisors and Algorithmic Trading, Crowdfunding and Peer-to-Peer Lending, Cybersecurity in Financial Services
MBFN405Project FinanceElective - Finance3Project Appraisal Techniques, Financial Structuring of Projects, Risk Allocation in Projects, Project Cash Flow Analysis, Debt and Equity Structuring, Special Purpose Vehicles (SPVs)
MBFN406Financial AnalyticsElective - Finance3Data Mining in Finance, Predictive Modelling for Financial Data, Machine Learning Applications in Finance, Risk Analytics and Stress Testing, Portfolio Optimization Techniques, Time Series Analysis for Financial Forecasting
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