

MBA in Finance at GIDC Rajju Shroff ROFEL Institute of Management Studies


Valsad, Gujarat
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About the Specialization
What is Finance at GIDC Rajju Shroff ROFEL Institute of Management Studies Valsad?
This Finance specialization program at GIDC Rajju Shroff ROFEL Institute of Management Studies, affiliated with Gujarat Technological University (GTU), focuses on equipping students with a robust understanding of financial markets, instruments, and management strategies. The curriculum is meticulously designed to meet the evolving demands of the Indian financial sector, covering areas from investment banking and wealth management to corporate finance and derivatives, preparing graduates for key roles in a rapidly growing economy. Its unique strength lies in practical applications relevant to India''''s dynamic financial landscape.
Who Should Apply?
This program is ideal for fresh graduates with a keen interest in finance, particularly those looking to enter the banking, investment, or corporate finance sectors in India. It also caters to working professionals seeking to upskill in specialized financial domains or transition into finance-centric roles within the country. Candidates with a strong quantitative aptitude, analytical mindset, and a desire to understand complex financial systems and their impact on the Indian economy would find this specialization highly rewarding.
Why Choose This Course?
Graduates of this program can expect diverse India-specific career paths, including roles as financial analysts, investment bankers, portfolio managers, credit managers, and wealth advisors. Entry-level salaries typically range from INR 3.5-6 LPA, with experienced professionals earning significantly more based on their expertise and firm. The program aligns with professional certifications like NISM and CFA, facilitating strong career growth trajectories in Indian financial institutions, multinational corporations, and rapidly expanding fintech startups across the country.

Student Success Practices
Foundation Stage
Strengthen Quantitative and Accounting Fundamentals- (Semester 1-2)
Dedicate extra time to master core subjects like Accounting for Management and Quantitative Analysis. Utilize online resources for practice, form study groups, and clarify concepts regularly with faculty. A strong base in these areas is crucial for advanced finance subjects.
Tools & Resources
Khan Academy for basic accounting/math, GTU prescribed textbooks, Peer study groups
Career Connection
Solid quantitative and accounting skills are non-negotiable for any finance role, forming the bedrock for financial analysis, modeling, and interpretation, essential for placements in banking or analytics.
Engage in Economic and Business News Consumption- (Semester 1-2)
Cultivate a habit of reading financial newspapers like The Economic Times, Business Standard, and subscribing to reputable financial news portals. This builds awareness of current economic trends, policy changes, and market movements relevant to India and globally.
Tools & Resources
The Economic Times, Business Standard, Mint, Moneycontrol.com
Career Connection
Staying informed about the dynamic Indian business environment enhances interview performance, demonstrates market awareness, and is vital for decision-making in future finance roles.
Develop Foundational Excel Proficiency- (Semester 1-2)
Beyond basic spreadsheet functions, invest time in learning intermediate to advanced Excel features crucial for finance, such as VLOOKUP, pivot tables, financial functions, and data analysis tools. Practice creating simple financial statements and basic budgets.
Tools & Resources
Microsoft Excel tutorials, Online courses (e.g., Coursera, Udemy) on ''''Excel for Finance''''
Career Connection
Excel is the primary tool for financial professionals. Early proficiency makes subsequent financial modeling and analysis courses easier and is a highly sought-after skill by employers for various finance positions.
Intermediate Stage
Pursue NISM Certifications- (Semester 3-4)
Begin preparing for and attempting NISM certifications relevant to your interest areas (e.g., Equity Derivatives, Mutual Funds, Securities Operations). These certifications are recognized industry benchmarks in India and provide practical knowledge.
Tools & Resources
NISM official study material, NISM mock tests, Online NISM preparation platforms
Career Connection
NISM certifications significantly boost your resume, demonstrating practical domain knowledge and commitment to the finance field, making you a more attractive candidate for roles in brokerage, mutual funds, and wealth management in India.
Actively Engage in Summer Internship Project (SIP)- (Semester 3 (during summer break))
Choose a Summer Internship Project that offers real-world exposure to financial analysis, market research, or financial product development. Proactively seek mentors, ask questions, and contribute meaningfully to the organization. Network within the company.
Tools & Resources
Industry contacts via college network, LinkedIn for professional connections, Company reports for pre-internship research
Career Connection
A well-executed SIP provides invaluable practical experience, builds industry connections, often leads to pre-placement offers (PPOs), and serves as a strong talking point in future job interviews, especially for Indian companies.
Participate in Finance-related Competitions and Workshops- (Semester 3-4)
Join inter-college finance competitions, stock market simulation games, and attend workshops on financial modeling, blockchain in finance, or fintech. This enhances problem-solving skills and exposes you to current industry challenges.
Tools & Resources
Finance clubs at ROFEL IMS and other colleges, Online platforms for stock market simulations, Industry workshops and seminars
Career Connection
Participation showcases initiative, practical application of knowledge, and teamwork. It creates networking opportunities and provides content for your resume, making you stand out in the competitive Indian job market for finance roles.
Advanced Stage
Master Advanced Financial Modeling and Software- (Semester 4)
Deepen your skills in financial modeling using advanced Excel, Python, or specialized software like Bloomberg Terminal (if available through college tie-ups) or Refinitiv Eikon. Practice building complex valuation models and scenario analyses.
Tools & Resources
Advanced Excel courses, Python for Finance libraries (pandas, NumPy), Bloomberg/Eikon tutorials (if access is provided by college)
Career Connection
Advanced modeling skills are crucial for roles in investment banking, equity research, and corporate finance. Proficiency in industry-standard software makes you highly employable in top-tier financial firms in India.
Intensive Placement Preparation and Mock Interviews- (Semester 4)
Dedicate significant time to placement preparation, focusing on quantitative aptitude, logical reasoning, and communication skills. Participate in mock interviews, group discussions, and technical rounds with industry experts and faculty.
Tools & Resources
Placement cell resources, Online aptitude platforms (e.g., Indiabix), Mock interview sessions with faculty and alumni
Career Connection
Thorough preparation ensures you are confident and articulate during the actual recruitment process, significantly increasing your chances of securing desired placements in reputable Indian and multinational companies.
Develop a Personal Investment Portfolio and Strategy- (Semester 3-4)
Apply theoretical knowledge by starting a small personal investment portfolio (even with virtual money initially). Track market movements, analyze companies, and formulate investment strategies. This practical exposure reinforces learning.
Tools & Resources
Dematerialized (Demat) account (for real investing), Virtual stock trading platforms, Financial news and analysis websites
Career Connection
Having a personal investment strategy demonstrates genuine interest and practical understanding of financial markets, impressing recruiters and providing valuable insights for roles in wealth management, equity research, and portfolio management.
Program Structure and Curriculum
Eligibility:
- Bachelor''''s Degree with minimum 50% marks (45% for SC/ST/SEBC candidates) from a recognized university. Must possess a valid score in a national-level entrance examination such as CMAT/CAT/XAT/MAT/ATMA/GMAT.
Duration: 4 semesters / 2 years
Credits: 108 Credits
Assessment: Internal: 30% (for theory subjects), External: 70% (for theory subjects)
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 3710001 | Management Principles and Practices | Core | 4 | Introduction to Management, Planning and Decision Making, Organizing and Staffing, Directing and Leading, Controlling and Coordination |
| 3710002 | Managerial Economics | Core | 4 | Introduction to Managerial Economics, Demand and Supply Analysis, Production and Cost Analysis, Market Structures and Pricing Strategies, Profit Management and Capital Budgeting |
| 3710003 | Accounting for Management | Core | 4 | Basic Accounting Concepts and Principles, Preparation of Financial Statements, Analysis and Interpretation of Financial Statements, Cost Accounting Concepts, Budgetary Control and Variance Analysis |
| 3710004 | Quantitative Analysis for Business Decisions | Core | 4 | Probability and Probability Distributions, Statistical Inference and Hypothesis Testing, Correlation and Regression Analysis, Linear Programming, Decision Theory and Simulation |
| 3710005 | Business Environment and Law | Core | 4 | Economic Environment of Business, Political and Legal Environment, Socio-Cultural and Technological Environment, Consumer Protection Act, Contract Act and Sale of Goods Act |
| 3710006 | Organizational Behaviour | Core | 4 | Foundations of Organizational Behaviour, Perception, Learning, and Attitudes, Motivation Theories and Applications, Group Dynamics and Team Building, Leadership and Power in Organizations |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 3720001 | Marketing Management | Core | 4 | Introduction to Marketing Management, Market Segmentation, Targeting, and Positioning, Product and Pricing Decisions, Promotion and Distribution Channels, Digital Marketing and Services Marketing |
| 3720002 | Financial Management | Core | 4 | Introduction to Financial Management, Time Value of Money, Capital Budgeting Decisions, Capital Structure and Dividend Policy, Working Capital Management |
| 3720003 | Human Resource Management | Core | 4 | Introduction to Human Resource Management, HR Planning, Recruitment, and Selection, Training and Development, Performance Management and Compensation, Industrial Relations and Employee Welfare |
| 3720004 | Operations Management | Core | 4 | Introduction to Operations Management, Facility Location and Layout, Production Planning and Control, Quality Management and Control, Supply Chain Management |
| 3720005 | Research Methodology | Core | 4 | Introduction to Business Research, Research Design and Hypothesis Formulation, Data Collection Methods and Sampling, Data Analysis and Interpretation, Report Writing and Presentation |
| 3720006 | Entrepreneurship and Business Ethics | Core | 4 | Concept of Entrepreneurship and Innovation, Business Plan Preparation, Funding for New Ventures, Ethical Decision Making in Business, Corporate Social Responsibility |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 3730001 | Strategic Management | Core | 4 | Introduction to Strategic Management, Environmental Analysis, Strategy Formulation and Choice, Strategy Implementation, Strategic Evaluation and Control |
| 3730002 | International Business | Core | 4 | Globalization and International Business Environment, International Trade Theories and Policies, Foreign Exchange Markets, International Financial Management, Global Marketing Strategies |
| 3730003 | Summer Internship Project (SIP) | Project | 4 | Industry Problem Identification, Data Collection and Analysis, Solution Formulation, Report Writing, Presentation and Viva |
| 3735101 | Security Analysis and Portfolio Management | Elective (Finance) | 4 | Investment Environment and Process, Equity and Bond Valuation, Modern Portfolio Theory, Asset Allocation Strategies, Portfolio Performance Evaluation |
| 3735102 | Financial Institutions and Markets | Elective (Finance) | 4 | Structure of Indian Financial System, Money Market Operations, Capital Market Instruments, Banking and Non-Banking Financial Companies, Financial Sector Reforms and Regulations |
| 3735103 | International Financial Management | Elective (Finance) | 4 | Foreign Exchange Market Operations, Exchange Rate Determination Theories, Currency Risk Exposure and Management, International Capital Budgeting, International Portfolio Management |
| 3735104 | Derivatives and Risk Management | Elective (Finance) | 4 | Introduction to Derivatives Markets, Futures Contracts and Pricing, Options Contracts and Strategies, Swaps and Other Derivatives, Risk Management Techniques using Derivatives |
| 3735105 | Financial Econometrics | Elective (Finance) | 4 | Linear Regression Models, Time Series Analysis in Finance, Volatility Modeling (ARCH/GARCH), Panel Data Analysis, Applications in Asset Pricing and Risk Management |
| 3735106 | Advanced Financial Management | Elective (Finance) | 4 | Mergers and Acquisitions, Corporate Restructuring, Leasing and Hire Purchase, Venture Capital and Private Equity, Corporate Valuation Techniques |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 3740001 | Corporate Governance and Social Responsibility | Core | 4 | Fundamentals of Corporate Governance, Role of Board of Directors, Stakeholder Management, Concept of Corporate Social Responsibility, Ethics and Governance in Indian Context |
| 3740002 | Business Analytics | Core | 4 | Introduction to Business Analytics, Data Visualization Techniques, Predictive Modeling Methods, Prescriptive Analytics and Optimization, Big Data Analytics in Business |
| 3740003 | Comprehensive Project (CP) | Project | 8 | Research Problem Definition, Extensive Literature Review, Methodology and Data Collection, Data Analysis and Interpretation, Report Writing and Viva Voce |
| 3745101 | Corporate Finance | Elective (Finance) | 4 | Capital Structure Decisions, Dividend Policy and Theories, Working Capital Management Strategies, Mergers, Acquisitions and Divestitures, Value Based Management |
| 3745102 | Merchant Banking and Financial Services | Elective (Finance) | 4 | Functions of Merchant Bankers, Public Issue Management, Underwriting and Book Building, Leasing, Hire Purchase and Factoring, Credit Rating and Securitization |
| 3745103 | Investment Banking and Financial Restructuring | Elective (Finance) | 4 | Overview of Investment Banking, Private Equity and Venture Capital, Deal Structuring and Due Diligence, Corporate Restructuring Strategies, Distressed Assets and Turnaround Management |
| 3745104 | Wealth Management | Elective (Finance) | 4 | Introduction to Wealth Management, Financial Planning Process, Investment Products for Wealth Creation, Retirement and Estate Planning, Risk Management for Individuals |
| 3745105 | Financial Modeling and Valuation | Elective (Finance) | 4 | Principles of Financial Modeling, Forecasting Financial Statements, Discounted Cash Flow Valuation, Relative Valuation Techniques, Sensitivity and Scenario Analysis |
| 3745106 | Project Planning and Control | Elective (Finance / Interdisciplinary) | 4 | Project Life Cycle and Selection, Project Feasibility Analysis, Network Techniques (PERT/CPM), Project Costing and Budgeting, Project Monitoring and Control |
| 3745107 | Rural & Agricultural Finance | Elective (Finance) | 4 | Rural Financial System in India, Agricultural Credit Policies, Microfinance Institutions, Crop Insurance Schemes, Financial Inclusion Strategies for Rural Areas |




