

MBA in Finance Management at College of Engineering Trivandrum


Thiruvananthapuram, Kerala
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About the Specialization
What is Finance Management at College of Engineering Trivandrum Thiruvananthapuram?
This Finance Management program at College of Engineering Trivandrum focuses on equipping future leaders with robust financial acumen essential for navigating India''''s dynamic economic landscape. It delves into critical areas like investment analysis, corporate finance, and risk management, preparing students for strategic roles in the country''''s burgeoning financial services sector. The program emphasizes practical application and contemporary industry practices.
Who Should Apply?
This program is ideal for fresh graduates seeking entry into financial analytics, investment banking, or corporate finance roles. It also caters to working professionals from non-finance backgrounds looking to transition into finance, and those with basic finance knowledge aiming to deepen their expertise for career progression in Indian financial markets. A strong analytical bent and interest in financial markets are beneficial prerequisites.
Why Choose This Course?
Graduates of this program can expect to pursue India-specific career paths such as financial analysts, portfolio managers, investment bankers, and risk managers in leading Indian and multinational corporations. Entry-level salaries typically range from INR 4-8 lakhs per annum, with significant growth potential up to INR 15-25 lakhs or more for experienced professionals. The curriculum aligns with requirements for certifications like NISM and CFA, enhancing professional readiness.

Student Success Practices
Foundation Stage
Master Core Financial & Quantitative Concepts- (Semester 1-2)
Dedicate time to thoroughly understand fundamental accounting, economics, and quantitative techniques. Regularly solve problems from textbooks and online resources. Form study groups with peers to discuss complex topics and clarify doubts, focusing on conceptual clarity rather than rote learning.
Tools & Resources
Khan Academy, Investopedia, Swayam NPTEL courses on Financial Accounting, Online quizzes
Career Connection
A strong foundation in these areas is crucial for advanced finance subjects and is a common screening criterion in initial placement tests for finance roles.
Develop Analytical and Spreadsheet Skills- (Semester 1-2)
Actively participate in case study discussions and use Microsoft Excel for financial modeling exercises. Learn advanced functions, data analysis tools, and pivot tables. Seek opportunities to apply these skills in class assignments and basic financial projects.
Tools & Resources
Microsoft Excel tutorials, Coursera/Udemy courses on Financial Modeling, Case Study Competitions
Career Connection
Proficiency in Excel and analytical thinking is indispensable for financial analysts and crucial for efficient data management in any finance-related job.
Build a Professional Network Early- (Semester 1-2)
Attend industry seminars, guest lectures, and workshops organized by the college or local professional bodies. Connect with alumni and faculty, leveraging platforms like LinkedIn. This helps in understanding industry trends and identifying potential mentors.
Tools & Resources
LinkedIn, College Alumni Network platforms, Local Chambers of Commerce events
Career Connection
Early networking can lead to internship opportunities, mentorship, and insights into various career paths within the Indian financial sector.
Intermediate Stage
Engage in Practical Financial Markets Exposure- (Semester 3)
Start tracking Indian stock markets, read financial news daily, and consider participating in virtual stock trading competitions. Understand real-time market dynamics and the impact of economic events on valuations. This practical exposure complements theoretical learning.
Tools & Resources
Moneycontrol.com, The Economic Times, NSE/BSE virtual trading platforms, ETMarkets
Career Connection
Direct exposure to financial markets is highly valued by investment banks, portfolio management firms, and equity research companies during recruitment.
Pursue Industry-Relevant Certifications- (Semester 3)
Prepare for and attempt certifications like NISM (National Institute of Securities Markets) modules (e.g., Equity Derivatives, Mutual Funds) or foundational levels of CFA (Chartered Financial Analyst). These certifications demonstrate specialized knowledge beyond the curriculum.
Tools & Resources
NISM study materials, CFA Institute resources, Prep providers like Kaplan Schweser
Career Connection
These certifications are widely recognized in India and significantly enhance employability for roles in asset management, brokerage, and investment advisory.
Undertake Live Projects and Internships- (Semester 3)
Actively seek and complete internships or live projects in financial firms, banks, or startups. Focus on applying theoretical knowledge to real business problems. Document your contributions and learnings clearly to showcase practical skills.
Tools & Resources
College placement cell, Internshala, Naukri.com, LinkedIn for internship postings
Career Connection
Practical experience through internships is often a prerequisite for final placements and provides invaluable insights into corporate work culture and specific job roles.
Advanced Stage
Specialize through Electives and Research Project- (Semester 4)
Deep dive into your chosen finance electives like Derivatives, Risk Management, or Wealth Management. For your final project/dissertation, select a topic aligned with your career interests and conduct thorough research, applying advanced analytical techniques.
Tools & Resources
JSTOR, Google Scholar, Financial databases (e.g., Bloomberg/Reuters if available through college)
Career Connection
Specialized knowledge from electives and a well-executed project demonstrates expertise and focus to potential employers in niche finance areas.
Master Interview and Soft Skills- (Semester 4)
Participate in mock interviews, group discussions, and aptitude tests conducted by the college placement cell. Work on improving communication, presentation, and problem-solving skills. Practice answering common finance interview questions and case studies.
Tools & Resources
Placement cell workshops, Mock interview sessions, Online aptitude platforms
Career Connection
Strong soft skills, combined with technical knowledge, are critical for converting interview opportunities into placement offers in competitive Indian job markets.
Strategize Your Career Path and Placement Prep- (Semester 4)
Identify target companies and roles within the finance sector in India. Tailor your resume and cover letter for each application. Understand company-specific requirements and prepare thoroughly for technical and HR rounds, leveraging insights from seniors and alumni.
Tools & Resources
Company websites, Glassdoor, College placement brochures, Alumni mentorship
Career Connection
A focused approach to placement preparation significantly increases your chances of securing a desirable job offer in your preferred finance domain.
Program Structure and Curriculum
Eligibility:
- Bachelor''''s degree with 50% aggregate marks (45% for SC/ST/SEBC candidates) in any discipline from a recognized University (approved by AICTE/UGC). Applicants must also possess a valid score in any one of the management aptitude tests like CAT/CMAT/KMAT.
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 |
|---|---|---|---|---|
| 20BA6001 | Management Principles and Organizational Behaviour | Core | 4 | Introduction to Management, Planning and Decision Making, Organizing and Staffing, Directing and Controlling, Foundations of Individual Behaviour |
| 20BA6003 | Managerial Economics | Core | 4 | Basic Economic Principles, Demand and Supply Analysis, Production and Cost Analysis, Market Structures and Pricing Decisions, Macroeconomic Environment |
| 20BA6005 | Financial Reporting and Analysis | Core | 4 | Financial Accounting Concepts, Preparation of Financial Statements, Analysis of Financial Statements, Cash Flow Statement, Valuation Principles |
| 20BA6007 | Quantitative Techniques for Management | Core | 4 | Probability and Probability Distributions, Sampling and Estimation, Hypothesis Testing, Correlation and Regression, Decision Theory |
| 20BA6009 | Business Communication | Core | 3 | Fundamentals of Communication, Oral Communication Skills, Written Communication Skills, Intercultural Communication, Presentations and Public Speaking |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 20BA6002 | Marketing Management | Core | 4 | Marketing Concepts and Environment, Consumer and Industrial Buying Behaviour, Product and Pricing Decisions, Promotion and Distribution Decisions, Digital Marketing |
| 20BA6004 | Operations Management | Core | 4 | Introduction to Operations Management, Product and Process Design, Capacity and Facility Planning, Inventory Management, Quality Management |
| 20BA6006 | Financial Management | Core | 4 | Goals of Financial Management, Time Value of Money, Investment Decisions (Capital Budgeting), Financing Decisions (Cost of Capital), Working Capital Management |
| 20BA6008 | Human Resource Management | Core | 4 | Introduction to HRM, Human Resource Planning, Recruitment and Selection, Training and Development, Performance Management |
| 20BA6012 | Research Methodology | Core | 3 | Introduction to Research, Research Design, Sampling Techniques, Data Collection and Analysis, Report Writing |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 20BA7001 | Strategic Management | Core | 4 | Concepts of Strategic Management, Environmental Analysis, Strategy Formulation, Strategy Implementation, Strategic Control |
| 20BA7101 | Indian Financial System | Elective (Finance Management) | 4 | Structure of Indian Financial System, Money Market Operations, Capital Market Instruments, Financial Institutions and Regulators, Mutual Funds and Insurance |
| 20BA7103 | Security Analysis and Portfolio Management | Elective (Finance Management) | 4 | Investment Environment, Equity and Debt Valuation, Technical and Fundamental Analysis, Portfolio Theory and Construction, Portfolio Performance Evaluation |
| 20BA70XX | Open Elective - I | Elective (Open) | 3 |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 20BA7105 | Derivatives and Risk Management | Elective (Finance Management) | 4 | Introduction to Derivatives, Forward and Futures Contracts, Options Contracts, Swaps and Other Derivatives, Risk Management Techniques |
| 20BA7010 | Project (Dissertation) | Project | 6 | Research Problem Identification, Literature Review, Methodology Design, Data Analysis and Interpretation, Report Writing and Presentation |
| 20BA7012 | Internship (Industrial Training) | Practical/Internship | 2 | Practical Industry Exposure, Application of Management Concepts, Organizational Structure and Functioning, Project Based Learning, Professional Skill Development |
| 20BA70XX | Common Elective | Elective (Common) | 3 |




