

MBA in Finance at G. Madegowda Institute of Technology


Mandya, Karnataka
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About the Specialization
What is Finance at G. Madegowda Institute of Technology Mandya?
This Finance specialization program at G. Madegowda Institute of Technology, affiliated with VTU, focuses on equipping students with advanced financial concepts and analytical skills essential for the dynamic Indian business landscape. The curriculum is designed to provide a comprehensive understanding of financial markets, investment strategies, and risk management, crucial for navigating complex economic scenarios and contributing to India''''s burgeoning financial sector.
Who Should Apply?
This program is ideal for commerce graduates, engineering graduates, and professionals seeking to specialize in finance. It caters to individuals aspiring for roles in corporate finance, investment banking, portfolio management, and financial analysis. It also suits those looking to enhance their existing financial acumen for career advancement within the rapidly evolving financial services industry in India.
Why Choose This Course?
Graduates of this program can expect to pursue lucrative careers in India''''s banking, financial services, and insurance (BFSI) sector, fintech companies, and corporate finance departments. Entry-level salaries typically range from INR 3-6 lakhs annually, with significant growth potential up to INR 15-25 lakhs for experienced professionals. The program aligns with skills required for certifications like NISM, CFA (Foundations), and FRM, enhancing employability and professional growth.

Student Success Practices
Foundation Stage
Build a Strong Quantitative & Analytical Base- (Semester 1-2)
Focus rigorously on core subjects like Business Statistics & Analytics, Accounting for Managers, and Financial Management. Utilize online platforms to solve numerical problems, understand financial statements, and practice basic statistical analysis to solidify foundational skills.
Tools & Resources
Excel for data analysis, Tally for accounting basics, Online tutorials (Coursera, Udemy) on financial modeling
Career Connection
A solid foundation in these areas is critical for advanced finance subjects and is a prerequisite for entry-level financial analyst or associate roles in the Indian market.
Develop Strong Communication & Presentation Skills- (Semester 1-2)
Actively participate in class discussions, group projects, and presentations from subjects like Managerial Communication. Join debate clubs or student organizations to hone public speaking and interpersonal communication, which are vital for corporate interactions in India.
Tools & Resources
Toastmasters International, LinkedIn Learning courses on professional communication, Presentation software (PowerPoint, Google Slides)
Career Connection
Effective communication is crucial for client interactions, team collaboration, and presenting financial reports or strategies in any finance role within Indian corporations.
Explore Core Management Concepts Across Functions- (Semester 1-2)
While specializing in Finance, gain a broad understanding of subjects like Marketing, HR, and Operations Management. This holistic view helps in understanding business strategies and financial implications across departments, fostering a more integrated approach to management in diverse Indian companies.
Tools & Resources
Case studies from Harvard Business Review, Business news publications (Economic Times, Business Standard), Industry reports
Career Connection
Finance professionals often collaborate with other departments; a cross-functional understanding enhances strategic decision-making and career mobility within Indian business conglomerates.
Intermediate Stage
Dive Deep into Finance Specialization Electives- (Semester 3-4)
Concentrate on subjects like Financial Markets & Services, International Financial Management, Investment Analysis & Portfolio Management, and Risk Management & Derivatives. Seek out real-world examples, participate in stock market simulations, and analyze current financial news.
Tools & Resources
NSE/BSE websites, Financial news portals (Moneycontrol, Livemint), Virtual trading platforms, Bloomberg Terminal access (if available through institution)
Career Connection
Direct application of these concepts is essential for roles in portfolio management, treasury, equity research, and financial advisory within the Indian BFSI sector.
Undertake a Meaningful Summer Internship- (During and after Semester 2, culminating in Semester 3 as part of the curriculum)
Secure an internship in a relevant finance domain (e.g., banking, equity research, financial advisory, corporate finance) in an Indian company. Actively contribute to projects, network with professionals, and aim to gain practical exposure to financial tools and processes.
Tools & Resources
LinkedIn for networking, Company career pages, Placement cell resources and industry contacts
Career Connection
Internships are crucial for gaining practical experience, building professional networks in India, and often lead to pre-placement offers or stronger full-time employment prospects with local firms.
Engage in Financial Certifications & Competitions- (Semester 3-4)
Prepare for entry-level financial certifications like NISM modules relevant to your interest (e.g., Equity Derivatives, Mutual Funds), highly valued in India. Participate in finance-related case study competitions or investment challenges to apply theoretical knowledge.
Tools & Resources
NISM study material and mock tests, College finance club activities, Inter-collegiate competitions hosted by financial institutions
Career Connection
Certifications demonstrate specialized knowledge and commitment, making you more attractive to Indian employers, while competitions enhance problem-solving and critical thinking skills.
Advanced Stage
Master Advanced Financial Modeling and Valuation- (During Semester 4 and immediately post-graduation)
Beyond the syllabus, learn advanced financial modeling techniques using Excel and other tools. Practice company valuation, M&A analysis, and scenario planning, which are highly valued skills in corporate finance and investment banking roles across India.
Tools & Resources
Advanced Excel, Financial modeling courses (e.g., from CFI, Wall Street Prep), Industry reports for case studies of Indian companies
Career Connection
This skill set is indispensable for roles in private equity, investment banking, corporate finance, and equity research within India, often commanding higher starting salaries.
Conduct a High-Quality Dissertation/Project Work- (Throughout Semester 4)
Choose a challenging and relevant research topic for your MBA Dissertation/Project Work (MBA405), ideally focusing on an Indian financial market problem. Conduct thorough research, apply analytical frameworks, and generate actionable insights, showcasing your capabilities.
Tools & Resources
Research databases (JSTOR, Scopus, Google Scholar), Statistical software (SPSS, R, Python), Guidance from faculty mentors with industry experience
Career Connection
A well-executed project demonstrates independent research capability, analytical rigor, and subject matter expertise, which can be highlighted during job interviews with Indian firms.
Strategize for Placements and Professional Networking- (Beginning Semester 3 and intensifying in Semester 4)
Actively engage with the college''''s placement cell. Refine your resume and interview skills, focusing on finance-specific questions and case studies relevant to Indian companies. Build a robust professional network through LinkedIn, alumni connections, and industry events.
Tools & Resources
Placement cell workshops and mock interviews, LinkedIn profiles and networking platforms, Alumni mentorship programs from GMIT
Career Connection
Strategic placement preparation and networking significantly increase the chances of securing desired roles in top financial firms and advancing your career trajectory within India''''s competitive job market.
Program Structure and Curriculum
Eligibility:
- Bachelor''''s degree with 50% aggregate marks (45% for SC/ST/Cat-I of Karnataka), as per standard VTU MBA admission norms; specific eligibility not detailed in the syllabus document.
Duration: 2 years (4 semesters)
Credits: 96 Credits
Assessment: Internal: 40%, External: 60%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA101 | Indian Economic Environment & Policy | Core | 3 | Structure of Indian Economy, Economic Planning & Reforms, Fiscal Policy & Monetary Policy, Trade Policy & Balance of Payments, Sectoral Performance |
| MBA102 | Principles of Management & Organizational Behavior | Core | 3 | Management Fundamentals, Planning, Organizing, Staffing, Directing, Controlling, Organizational Behavior Basics, Motivation Theories, Leadership & Group Dynamics |
| MBA103 | Accounting for Managers | Core | 3 | Financial Accounting Principles, Preparation of Financial Statements, Cost Accounting Concepts, Budgetary Control, Management Reporting |
| MBA104 | Business Statistics & Analytics | Core | 3 | Data Collection & Presentation, Measures of Central Tendency & Dispersion, Probability & Probability Distributions, Hypothesis Testing, Correlation & Regression |
| MBA105 | Marketing Management | Core | 3 | Marketing Concepts, Market Segmentation & Targeting, Product Management, Pricing Strategies, Promotion & Distribution Channels |
| MBA106 | Financial Management | Core | 3 | Financial Goals & Time Value of Money, Capital Budgeting Decisions, Cost of Capital & Capital Structure, Working Capital Management, Dividend Policy |
| MBA107 | Managerial Communication | Core | 3 | Communication Process & Barriers, Verbal & Non-Verbal Communication, Business Correspondence, Presentation Skills, Group Discussions & Interview Skills |
| MBA108 | Research Methodology | Core | 3 | Introduction to Business Research, Research Design, Data Collection Methods, Sampling Techniques, Report Writing & Ethics |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA201 | Operations Management | Core | 3 | Operations Strategy, Production Planning & Control, Inventory Management, Quality Management, Supply Chain Management |
| MBA202 | Human Resource Management | Core | 3 | HR Planning & Job Analysis, Recruitment & Selection, Training & Development, Performance Management, Compensation & Benefits |
| MBA203 | Marketing Research | Core | 3 | Marketing Research Process, Research Design Types, Data Collection Tools, Scaling Techniques, Data Analysis & Interpretation |
| MBA204 | Business Analytics & Decision Making | Core | 3 | Introduction to Business Analytics, Descriptive & Predictive Analytics, Decision Theory, Forecasting Techniques, Data Visualization |
| MBA205 | Legal Aspects of Business | Core | 3 | Indian Contract Act, Sale of Goods Act, Negotiable Instruments Act, Company Law, Consumer Protection Act |
| MBA206 | Entrepreneurship Development | Core | 3 | Concept of Entrepreneurship, Entrepreneurial Process, Business Plan Preparation, Startup Ecosystem, Funding for New Ventures |
| MBA207 | Management Information Systems | Core | 3 | Information Systems Fundamentals, Database Management Systems, ERP & CRM, E-business & E-commerce, IT Strategy & Governance |
| MBA208 | Operations Research | Core | 3 | Linear Programming, Transportation & Assignment Problems, Network Analysis (PERT/CPM), Queuing Theory, Game Theory |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA301 | Strategic Management | Core | 3 | Strategy Formulation, Strategic Analysis Tools, Strategy Implementation, Corporate Governance, Strategic Control |
| MBA302 | Quantitative Techniques for Business Decisions | Core | 3 | Probability & Decision Theory, Forecasting Methods, Simulation Techniques, Multivariate Analysis, Time Series Analysis |
| MBA303 | International Business Management | Core | 3 | Globalization & International Trade Theories, Foreign Direct Investment, MNCs & Global Business Strategies, International Marketing, Cross-Cultural Management |
| MBA304 | Corporate Social Responsibility & Ethics | Core | 3 | Business Ethics Frameworks, CSR Concepts & Models, Stakeholder Management, Environmental Ethics, Corporate Governance |
| MBA305 | Internship | Core | 6 | Industry Exposure, Application of Management Concepts, Problem Identification & Solution, Data Collection & Analysis, Internship Report Preparation |
| MBA341FN | Financial Markets & Services | Elective (Finance) | 3 | Indian Financial System, Money Market & Capital Market, Banking & Non-Banking Financial Companies, Merchant Banking & Investment Banking, Mutual Funds & Insurance Services |
| MBA342FN | International Financial Management | Elective (Finance) | 3 | International Monetary System, Balance of Payments, Foreign Exchange Markets & Rate Determination, Currency Derivatives, Management of Foreign Exchange Exposure |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA401 | Project Management | Core | 3 | Project Life Cycle, Project Planning & Scheduling, Project Costing & Budgeting, Risk Management in Projects, Project Monitoring & Control |
| MBA402 | Total Quality Management | Core | 3 | Concepts of Quality & TQM, Quality Gurus & Philosophies, Quality Tools & Techniques, ISO 9000 & 14000 Standards, Six Sigma |
| MBA403 | Green Business Management | Core | 3 | Environmental Management Systems, Sustainable Business Models, Green Marketing Strategies, Eco-Innovation & Green Technologies, Circular Economy Principles |
| MBA404 | Business Intelligence & Data Warehousing | Core | 3 | Introduction to Business Intelligence, Data Warehousing Concepts, Data Mining Techniques, OLAP & Reporting Tools, Big Data Analytics Overview |
| MBA405 | Dissertation / Project Work | Core | 6 | Problem Identification & Research Design, Data Collection & Analysis, Formulation of Findings & Recommendations, Report Writing & Presentation, Viva Voce |
| MBA441FN | Investment Analysis & Portfolio Management | Elective (Finance) | 3 | Investment Environment, Risk & Return Analysis, Security Valuation (Equity & Debt), Modern Portfolio Theory, Portfolio Performance Evaluation |
| MBA442FN | Risk Management & Derivatives | Elective (Finance) | 3 | Introduction to Risk Management, Derivatives Markets & Instruments, Futures & Forwards Contracts, Options Contracts & Strategies, Swaps & Other Derivatives |




