

MBA in Finance at GRV Business Management Academy


Bengaluru, Karnataka
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About the Specialization
What is Finance at GRV Business Management Academy Bengaluru?
This Finance program at GRV Business Management Academy focuses on equipping students with advanced financial knowledge and analytical skills crucial for dynamic roles in the Indian financial sector. It delves into core areas like investment, risk management, corporate finance, and financial markets, preparing professionals for the evolving demands of both traditional and fintech industries in India. The curriculum is designed to foster a deep understanding of financial principles and their practical application.
Who Should Apply?
This program is ideal for fresh graduates seeking entry into financial services, investment banking, or corporate finance roles. It also caters to working professionals looking to upskill in specialized financial domains or transition into management positions within finance departments. Candidates with a background in commerce, economics, or engineering who possess analytical aptitude and a keen interest in financial markets will find this specialization highly rewarding.
Why Choose This Course?
Graduates of this program can expect to pursue diverse career paths in India, including financial analyst, investment manager, risk consultant, portfolio manager, and corporate finance executive. Entry-level salaries typically range from INR 4-7 lakhs per annum, with experienced professionals potentially earning INR 15-25 lakhs or more. The program aligns with industry certifications like CFA and NISM, enhancing growth trajectories in Indian banks, mutual funds, and FinTech companies.

Student Success Practices
Foundation Stage
Master Financial Fundamentals with Online Certifications- (Semester 1-2)
Focus on building a strong base in accounting, economics, and basic finance. Supplement classroom learning with free online courses and certifications from platforms like NPTEL or Coursera (e.g., Introduction to Financial Accounting, Principles of Microeconomics). Regularly participate in quizzes and apply concepts to real-world Indian business news.
Tools & Resources
NPTEL, Coursera, Investopedia, Financial Express
Career Connection
A solid foundation makes advanced finance concepts easier and impresses recruiters during initial screening, demonstrating proactive learning.
Develop Strong Analytical and Quantitative Skills- (Semester 1-2)
Excel in subjects like Business Statistics and Financial Management by practicing problem-solving daily. Utilize Excel for financial modeling exercises and basic data analysis. Join college-level finance clubs to participate in case study competitions focusing on financial data interpretation.
Tools & Resources
Microsoft Excel, Khan Academy (for statistics), Case study competitions
Career Connection
Analytical skills are paramount for financial roles, crucial for interpreting market data and making informed decisions, highly valued by Indian employers.
Cultivate Professional Communication and Networking- (Semester 1-2)
Actively participate in presentations and group discussions to hone communication skills. Attend industry webinars and seminars organized by GRV BMA or local industry bodies. Start building a professional network by connecting with seniors, faculty, and guest speakers on platforms like LinkedIn.
Tools & Resources
LinkedIn, College career services, Toastmasters International club (if available)
Career Connection
Effective communication and a strong network are vital for job searching, interviews, and career progression in India''''s competitive finance industry.
Intermediate Stage
Deep Dive into Finance Electives with Industry Research- (Semester 3)
As specialization begins, thoroughly research the chosen finance electives. Beyond textbooks, read financial journals, business newspapers (e.g., Economic Times, Business Standard), and analyst reports on the Indian financial sector. Start building a small personal portfolio simulation to apply theoretical knowledge.
Tools & Resources
Economic Times, Business Standard, Moneycontrol, Stock market simulators
Career Connection
This depth of knowledge and practical application demonstrates a genuine interest and understanding, making you a more compelling candidate for specialized finance roles.
Pursue NISM Certifications- (Semester 3)
Begin preparing for and appearing for relevant NISM (National Institute of Securities Markets) certifications (e.g., Equity Derivatives, Mutual Fund Distributors, Investment Advisory). These certifications are industry-recognized and demonstrate practical expertise in specific financial domains.
Tools & Resources
NISM study material, NISM mock tests, Online coaching platforms
Career Connection
NISM certifications are highly valued by Indian financial firms (brokerage houses, mutual funds, wealth management), providing a distinct advantage in placements and specialized roles.
Engage in Live Industry Projects and Financial Competitions- (Semester 3)
Actively seek opportunities for short-term projects with local companies or NGOs that require financial analysis. Participate in inter-college finance competitions, stock market games, and business quizzes to test your knowledge and develop competitive skills.
Tools & Resources
College project cells, Finance clubs, E-Cell events, National-level finance challenges
Career Connection
Practical project experience and competition wins enhance your resume, provide talking points in interviews, and build a portfolio of applied financial skills.
Advanced Stage
Excel in Internship and Network Strategically- (Semester 4)
Treat your Semester 4 internship as a potential pre-placement offer. Go above and beyond in your assigned tasks, seek feedback, and contribute meaningfully. Proactively network with employees across different departments and levels within the internship organization.
Tools & Resources
Internship supervisor, Company HR, LinkedIn for connections, Professional mentorship
Career Connection
A successful internship is the most direct route to a job offer. Strong networking during this period can lead to referrals and future opportunities in the Indian market.
Refine Interview Skills and Build a Strong Portfolio- (Semester 4 and immediately post-program)
Practice behavioral and technical interview questions specific to finance roles. Prepare a well-structured portfolio showcasing your projects, NISM certifications, competition achievements, and analytical work (e.g., financial models, market analysis reports). Utilize GRV BMA''''s placement cell for mock interviews.
Tools & Resources
Placement cell, Interview guides, Personal portfolio website/document, Mock interview sessions
Career Connection
A polished resume, compelling portfolio, and confident interview performance are critical for securing desired placements in top Indian financial firms.
Continuous Learning and Industry Trend Monitoring- (Ongoing, during and after MBA)
Stay updated with the latest trends in the Indian and global financial markets, including FinTech innovations, regulatory changes, and economic policies. Subscribe to industry newsletters, follow financial news channels, and consider advanced certifications like CFA or FRM post-MBA for long-term career growth.
Tools & Resources
Bloomberg, Reuters, Financial Times, FinTech magazines, Professional body websites (CFA Institute, GARP)
Career Connection
Remaining current with industry developments is crucial for sustained relevance and career advancement in the rapidly evolving financial services landscape in India.
Program Structure and Curriculum
Eligibility:
- Any degree from a recognized University with 50% marks (45% in case of SC/ST/CAT-1 candidates). Admission through PGCET/CMAT/KMAT/MAT/XAT/ATMA/ICET etc. (as per GRV BMA official website)
Duration: 2 years / 4 semesters
Credits: 86 Credits
Assessment: Internal: 40%, External: 60%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 1.1 | Management & Organisational Behaviour | Core | 4 | Management Concepts and Functions, Organisational Behaviour Foundations, Motivation and Leadership, Group Dynamics and Team Building, Organisational Culture and Change |
| 1.2 | Accounting for Managers | Core | 4 | Financial Accounting Fundamentals, Preparation of Financial Statements, Analysis of Financial Statements, Cost Accounting Principles, Budgeting and Control |
| 1.3 | Managerial Economics | Core | 4 | Introduction to Managerial Economics, Demand and Supply Analysis, Production and Cost Analysis, Market Structures and Pricing Decisions, Business Cycles and Economic Policies |
| 1.4 | Business Statistics & Analytics | Core | 4 | Statistical Methods for Business, Probability and Distributions, Sampling and Hypothesis Testing, Regression and Correlation Analysis, Introduction to Business Analytics |
| 1.5 | Marketing Management | Core | 4 | Marketing Concepts and Environment, Consumer Behaviour, Market Segmentation and Targeting, Product and Brand Management, Pricing, Promotion, and Distribution Strategies |
| 1.6 | Legal & Business Environment | Core | 4 | Indian Legal System and Business Laws, Contract Act, Sale of Goods Act, Companies Act and LLP Act, Consumer Protection Act, Economic Reforms and Policies in India |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 2.1 | Human Resource Management | Core | 4 | HRM Functions and Strategies, HR Planning and Recruitment, Training and Development, Performance Management, Compensation and Employee Relations |
| 2.2 | Financial Management | Core | 4 | Financial Goals and Objectives, Capital Budgeting Decisions, Cost of Capital, Working Capital Management, Dividend Policy and Capital Structure |
| 2.3 | Operations Management | Core | 4 | Operations Strategy and Design, Capacity and Facility Planning, Inventory Management, Supply Chain Management, Quality Management |
| 2.4 | Research Methodology | Core | 4 | Research Process and Design, Data Collection Methods, Sampling Techniques, Data Analysis and Interpretation, Report Writing and Ethics |
| 2.5 | Entrepreneurship & Ethics | Core | 4 | Concept of Entrepreneurship, Business Idea Generation and Planning, Startup Ecosystem in India, Business Ethics and Corporate Governance, Social Responsibility |
| 2.6 | Innovation & Digital Transformation | Core | 4 | Concept of Innovation, Digital Business Models, Technologies for Digital Transformation, E-commerce and Digital Marketing, Managing Digital Innovation |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 3.1 | Strategic Management | Core | 4 | Strategic Management Process, Environmental Analysis and Industry Analysis, Strategy Formulation and Implementation, Corporate Level Strategies, Strategic Control and Evaluation |
| 3.2 | International Business | Core | 4 | Globalization and International Business Environment, Theories of International Trade, Foreign Direct Investment, Global Market Entry Strategies, International Financial System |
| 3.3 | Analytics for Business Decisions | Core | 4 | Introduction to Business Analytics, Data Visualization, Predictive Analytics Models, Decision Making with Analytics, Big Data Concepts |
| 3.4 | Management Information System | Core | 4 | Role of MIS in Business, Information Systems for Management, Database Management Systems, Decision Support Systems, Cybersecurity and IT Governance |
| 3.11F | Indian Financial System | Elective - Finance | 3 | Structure of Indian Financial System, Financial Markets (Money, Capital, Foreign Exchange), Financial Institutions (RBI, Commercial Banks, NBFCs), Financial Instruments, Financial Sector Reforms |
| 3.12F | Corporate Taxation | Elective - Finance | 3 | Direct and Indirect Tax System in India, Income Tax Act: Heads of Income, Assessment of Companies and Firms, Goods and Services Tax (GST), Tax Planning and Management |
| 3.13F | Wealth Management | Elective - Finance | 3 | Introduction to Wealth Management, Financial Planning Process, Investment Products and Strategies, Retirement Planning, Estate Planning and Risk Management |
| 3.14F | Financial Risk Management | Elective - Finance | 3 | Introduction to Financial Risk, Market Risk and Credit Risk, Operational Risk, Derivative Instruments for Hedging, Risk Management Techniques and Models |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 4.1 | Business Intelligence | Core | 4 | Concepts of Business Intelligence, Data Warehousing and Data Mining, ETL Process, BI Tools and Techniques, Applications of BI in Business |
| 4.11F | International Financial Management | Elective - Finance | 3 | Global Financial Environment, Foreign Exchange Markets, Exchange Rate Theories, International Capital Budgeting, Managing Foreign Exchange Risk |
| 4.12F | Investment Management & Portfolio Management | Elective - Finance | 3 | Investment Process and Securities Analysis, Valuation of Securities, Portfolio Theory, Portfolio Performance Evaluation, Mutual Funds and Alternative Investments |
| 4.13F | Mergers & Acquisitions and Corporate Restructuring | Elective - Finance | 3 | Motives for Mergers and Acquisitions, Types of M&A, Valuation of Target Companies, Financing M&A, Post-Merger Integration and Restructuring |
| 4.14F | Strategic Financial Management | Elective - Finance | 3 | Framework of Strategic Financial Management, Value-Based Management, Capital Structure Strategies, Working Capital Optimization, Financial Restructuring Decisions |
| 4.2 | Major Project Work | Core | 4 | Project Identification, Research Design, Data Collection and Analysis, Report Writing, Presentation and Viva Voce |
| 4.3 | Internship | Core | 2 | Industry Exposure, Practical Application of Concepts, Professional Skill Development, Internship Report, Organizational Learning |




