

MBA in Finance at Dr. Ambedkar Institute of Management Studies


Bengaluru, Karnataka
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About the Specialization
What is Finance at Dr. Ambedkar Institute of Management Studies Bengaluru?
This Finance specialization program at Dr. Ambedkar Institute of Management Studies focuses on equipping students with deep analytical and strategic financial management skills essential for the dynamic Indian economy. The curriculum covers core financial concepts, investment strategies, risk management, and contemporary areas like Fintech. It prepares graduates for diverse roles in India''''s growing financial services sector.
Who Should Apply?
This program is ideal for fresh graduates seeking entry into investment banking, equity research, or corporate finance roles, as well as working professionals looking to upskill in financial analytics or portfolio management. Career changers transitioning into the finance industry from other domains will also find this program beneficial, provided they have a strong quantitative aptitude.
Why Choose This Course?
Graduates of this program can expect to pursue lucrative India-specific career paths such as Financial Analyst, Investment Manager, Credit Analyst, or Portfolio Manager. Entry-level salaries typically range from INR 4-7 LPA, with experienced professionals earning INR 10-25 LPA+. The program aligns with certifications like CFA and NISM, offering clear growth trajectories in Indian banks, mutual funds, and fintech firms.

Student Success Practices
Foundation Stage
Strengthen Core Financial & Analytical Foundations- (Semester 1-2)
Dedicate extra time to master foundational subjects like Accounting for Managers, Business Statistics & Analytics, and Financial Management. This involves rigorous practice of numerical problems, understanding underlying economic principles, and grasping financial statements. Focus on building a strong conceptual base, as this will be critical for advanced finance topics.
Tools & Resources
Financial accounting textbooks, Khan Academy Finance modules, Excel for basic data analysis, Investopedia for financial terminology
Career Connection
A solid foundation in these areas is crucial for excelling in entry-level finance roles, passing competitive exams, and understanding complex financial models later on.
Cultivate Data Interpretation and Presentation Skills- (Semester 1-2)
Beyond theoretical knowledge, actively work on interpreting financial data, creating insightful reports, and presenting findings effectively. Participate in classroom discussions, case study analyses, and group projects. Seek feedback on your communication style and ability to simplify complex financial concepts.
Tools & Resources
Microsoft Excel (advanced functions), PowerPoint for presentations, Bloomberg Terminal (if available in college lab), Financial newspaper analysis
Career Connection
Strong analytical and communication skills are highly valued by recruiters for roles in financial analysis, investment banking, and consulting, enabling clear articulation of financial insights.
Engage in Early Financial News & Market Tracking- (Semester 1-2)
Develop a habit of regularly following Indian and global financial news, stock market movements, and economic indicators. Understand the impact of current events on industries and companies. This will build contextual awareness and improve understanding of theoretical concepts in a real-world scenario.
Tools & Resources
The Economic Times, Livemint, Business Standard, NSE/BSE websites, Investing.com app
Career Connection
This practice enhances commercial awareness, a key attribute for finance professionals, helping you ace interviews and make informed career decisions within the Indian financial ecosystem.
Intermediate Stage
Dive Deep into Specialization Electives and Certifications- (Semester 3)
Strategically choose your finance electives in Semester 3 and actively pursue relevant professional certifications. For example, simultaneously prepare for NISM certifications (like Equity Derivatives, Equity Research) or begin the CFA Level 1 journey. This deepens specialized knowledge and adds significant value to your profile.
Tools & Resources
NISM study materials, CFA Institute resources, Schweser notes, Online platforms like EduPristine/IMS Proschool for coaching
Career Connection
Specialized knowledge and industry-recognized certifications are critical for securing roles in specific finance domains like investment analysis, portfolio management, or risk management.
Seek Practical Exposure through Live Projects and Internships- (Semester 3)
Actively look for short-term live projects with fintech companies, startups, or financial advisory firms in Bengaluru. Prioritize a summer internship after Semester 2 or during Semester 3 that aligns with your desired finance career path. This provides invaluable real-world experience and networking opportunities.
Tools & Resources
LinkedIn for networking and job alerts, College placement cell, Internshala, Industry contacts from guest lectures
Career Connection
Internships are often a direct path to pre-placement offers (PPOs) and provide practical skills that make you highly employable and effective from day one in an Indian financial firm.
Master Financial Modeling and Valuation Techniques- (Semester 3)
Go beyond theoretical understanding of valuation. Enroll in workshops or online courses focused on building robust financial models using Excel, covering DCF, relative valuation, and sensitivity analysis. Practice constructing models for various Indian companies to solidify your skills.
Tools & Resources
Advanced Excel courses, Wall Street Prep/Breaking into Wall Street courses, Online tutorials on financial modeling, Company annual reports (BSE/NSE archives)
Career Connection
Financial modeling and valuation are core skills for investment banking, equity research, and corporate finance roles, offering a distinct edge in job applications and interviews.
Advanced Stage
Undertake an Industry-Relevant Final Project- (Semester 4)
For your Semester 4 Project Work, choose a topic that addresses a current industry challenge in finance, ideally with data from a real company or sector. This could involve developing a new financial product, analyzing a merger, or predicting market trends. Focus on presenting actionable insights.
Tools & Resources
Research databases (CMIE Prowess, Capitaline), Statistical software (R, Python basic), Academic journals, Industry reports
Career Connection
A well-executed project demonstrates your ability to apply theoretical knowledge to solve real business problems, making you a more attractive candidate for placement drives.
Network Extensively and Attend Industry Events- (Semester 4)
Actively network with alumni, guest speakers, and professionals in the finance industry. Attend webinars, conferences, and industry summits (even virtual ones). Build meaningful connections that can lead to mentorship, job referrals, and insights into career opportunities in the Indian market.
Tools & Resources
LinkedIn Professional networking, Industry associations (e.g., FMA India chapter events), College alumni network events, Professional meetups
Career Connection
Networking is paramount for job discovery and career advancement in finance, especially in India where personal connections often play a significant role in hiring.
Intensive Placement Preparation and Mock Interviews- (Semester 4)
Engage in rigorous placement preparation focusing on aptitude, logical reasoning, and domain-specific knowledge. Participate in mock interviews (both technical finance and HR) regularly. Get feedback on your resume and cover letter, tailoring them specifically for finance roles in India.
Tools & Resources
Placement cell workshops, Online aptitude tests (e.g., Indiabix), Glassdoor for company-specific interview questions, Peer interview practice
Career Connection
Thorough preparation directly translates into higher chances of securing desired placements in top financial firms and ensuring a strong start to your professional career.
Program Structure and Curriculum
Eligibility:
- A candidate who has passed any recognized Bachelor’s Degree of minimum three years duration with 50% marks in aggregate (45% for SC/ST/CAT-I) in all the subjects including languages, or a Bachelor’s Degree in Engineering/Technology or any other examination recognized as equivalent by Bangalore University/AIU.
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 |
|---|---|---|---|---|
| MBA1.1 | Management and Organizational Behavior | Core | 4 | Fundamentals of Management, Planning and Organizing, Directing and Controlling, Foundations of Organizational Behavior, Personality and Perception, Motivation and Leadership |
| MBA1.2 | Managerial Economics | Core | 4 | Introduction to Managerial Economics, Demand Analysis and Forecasting, Production and Cost Analysis, Market Structures and Pricing Decisions, Macroeconomic Environment, Business Cycles and Policies |
| MBA1.3 | Business Statistics & Analytics | Core | 4 | Introduction to Business Statistics, Measures of Central Tendency and Dispersion, Probability and Probability Distributions, Sampling and Hypothesis Testing, Correlation and Regression, Introduction to Business Analytics |
| MBA1.4 | Accounting for Managers | Core | 4 | Financial Accounting Concepts, Accounting Cycle and Financial Statements, Analysis of Financial Statements, Cost Accounting Fundamentals, Budgetary Control, Standard Costing and Variance Analysis |
| MBA1.5 | Marketing Management | Core | 4 | Fundamentals of Marketing, Marketing Environment and Research, Consumer Behavior and Market Segmentation, Product and Pricing Decisions, Promotion and Distribution Strategies, Digital Marketing and Services Marketing |
| MBA1.6 | Human Resource Management | Core | 4 | Introduction to HRM, HR Planning and Job Analysis, Recruitment and Selection, Training and Development, Performance Management, Compensation and Employee Relations |
| MBA1.7 | Legal Aspects of Business | Core | 4 | Indian Contract Act, Sale of Goods Act, Negotiable Instruments Act, Companies Act, Consumer Protection Act, Intellectual Property Rights |
| MBA1.8 | Business Communication & Research Methods | Core | 4 | Principles of Business Communication, Verbal and Non-Verbal Communication, Written Communication Skills, Introduction to Business Research, Research Design and Data Collection, Data Analysis and Report Writing |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA2.1 | Financial Management | Core | 4 | Introduction to Financial Management, Time Value of Money, Capital Budgeting Decisions, Cost of Capital, Capital Structure Theories, Dividend Policy |
| MBA2.2 | Operations Management | Core | 4 | Introduction to Operations Management, Product and Process Design, Facility Location and Layout, Inventory Management, Quality Management, Supply Chain Management |
| MBA2.3 | Management Information System | Core | 4 | Foundations of MIS, Information Systems for Business Operations, E-commerce and E-business, Database Management, Decision Support Systems, IT Strategy and Security |
| MBA2.4 | Entrepreneurship and Startups | Core | 4 | Introduction to Entrepreneurship, Creativity and Innovation, Business Plan Development, Sources of Finance for Startups, Legal and Regulatory Framework, Growth Strategies and Exit Routes |
| MBA2.5 | Business Ethics & Corporate Governance | Core | 4 | Ethical Theories and Business, Ethical Decision Making, Corporate Social Responsibility, Introduction to Corporate Governance, Board of Directors and Stakeholders, Governance Best Practices in India |
| MBA2.6 | Quantitative Techniques for Business Decisions | Core | 4 | Linear Programming, Transportation and Assignment Problems, Network Analysis (PERT/CPM), Decision Theory, Game Theory, Simulation |
| MBA2.7 | International Business | Core | 4 | Introduction to International Business, Theories of International Trade, International Monetary System, Foreign Direct Investment, Global Marketing Strategies, International Human Resource Management |
| MBA2.8 | Strategic Management | Core | 4 | Concept of Strategy, Strategic Intent and Environmental Analysis, Internal Analysis and Core Competencies, Corporate Level Strategies, Business Level Strategies, Strategy Implementation and Control |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA3.1 | Business Analytics for Decision Making | Core | 4 | Introduction to Business Analytics, Descriptive Analytics, Predictive Analytics, Prescriptive Analytics, Data Visualization, Analytics Applications in Business |
| MBA3.2 | Innovation and Design Thinking | Core | 4 | Introduction to Innovation, Types and Sources of Innovation, Design Thinking Process, Empathize and Define Phases, Ideate and Prototype Phases, Test and Implement Phases |
| MBA3.3 | Cross-Functional Elective | Core (Interdisciplinary Elective) | 2 | |
| FIN3.1 | Indian Financial System | Elective (Finance Specialization) | 4 | Structure of Indian Financial System, Financial Markets (Money & Capital), Financial Institutions (Banking & Non-Banking), Financial Instruments, SEBI and Regulatory Framework, RBI and Monetary Policy |
| FIN3.2 | Corporate Taxation & Planning | Elective (Finance Specialization) | 4 | Basics of Income Tax Act 1961, Taxation of Corporate Income, Assessment of Companies, Indirect Taxes (GST), Tax Planning vs Tax Evasion, Tax Strategies for Business Decisions |
| FIN3.3 | Investment Management | Elective (Finance Specialization) | 4 | Investment Environment and Process, Risk and Return Concepts, Equity and Debt Instruments, Mutual Funds and Derivatives, Valuation of Securities, Behavioral Finance |
| FIN3.4 | Security Analysis & Portfolio Management | Elective (Finance Specialization) | 4 | Fundamental Analysis (Economic, Industry, Company), Technical Analysis (Charts, Indicators), Modern Portfolio Theory, Portfolio Performance Evaluation, Capital Market Theory, Efficient Market Hypothesis |
| FIN3.5 | Financial Derivatives | Elective (Finance Specialization) | 4 | Introduction to Derivatives, Forward and Futures Contracts, Options: Types, Payoffs, Pricing, Swaps: Interest Rate and Currency Swaps, Hedging Strategies with Derivatives, Regulatory Framework for Derivatives |
| FIN3.6 | International Financial Management | Elective (Finance Specialization) | 4 | Global Financial Environment, Foreign Exchange Markets, Exchange Rate Theories, Managing Foreign Exchange Risk, International Capital Budgeting, International Working Capital Management |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA4.1 | Project Work | Core (Project) | 10 | Problem Identification and Formulation, Literature Review, Research Design and Methodology, Data Collection and Analysis, Interpretation of Results, Report Writing and Presentation |
| MBA4.2 | Internship Report | Core (Internship) | 2 | Industry Exposure, Application of Theoretical Knowledge, Problem Solving in Real-world Scenarios, Skill Development, Networking, Formal Report Submission |
| FIN4.1 | Financial Risk Management | Elective (Finance Specialization) | 4 | Introduction to Financial Risk, Market Risk Management, Credit Risk Management, Operational Risk Management, Liquidity Risk and Interest Rate Risk, Risk Measurement Models (VaR) |
| FIN4.2 | Mergers, Acquisitions & Corporate Restructuring | Elective (Finance Specialization) | 4 | Introduction to M&A, Types and Motives of M&A, Valuation for M&A, Financing Mergers and Acquisitions, Regulatory Framework for M&A, Post-Merger Integration |
| FIN4.3 | International Banking & Forex Management | Elective (Finance Specialization) | 4 | Structure of International Banking, Correspondent Banking, International Lending and Syndication, Foreign Exchange Market Operations, Forex Risk Management, International Trade Finance |
| FIN4.4 | Business Valuation & Financial Modeling | Elective (Finance Specialization) | 4 | Introduction to Business Valuation, Asset-Based Valuation, Income-Based Valuation (DCF, DDM), Market-Based Valuation, Introduction to Financial Modeling, Building Financial Models in Excel |
| FIN4.5 | Fixed Income Securities | Elective (Finance Specialization) | 4 | Features of Fixed Income Securities, Bond Valuation and Yield Measures, Duration and Convexity, Interest Rate Risk Management, Credit Risk in Fixed Income, Bond Portfolio Management |
| FIN4.6 | Fintech & Blockchain | Elective (Finance Specialization) | 4 | Introduction to Fintech, Digital Payments and Mobile Banking, Lending and Crowdfunding Platforms, Fundamentals of Blockchain Technology, Cryptocurrencies and Smart Contracts, Regulatory Aspects of Fintech and Blockchain |




