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MBA in Finance at KMEA Engineering College

KMEA Engineering College, established 2001 in Ernakulam, Kerala, is a premier private institution affiliated with APJ Abdul Kalam Technological University. With NAAC 'A' Grade accreditation, it offers diverse B.Tech, M.Tech, MBA, and MCA programs, renowned for academic rigor and NBA-accredited courses.

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Ernakulam, Kerala

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About the Specialization

What is Finance at KMEA Engineering College Ernakulam?

This Finance specialization program at KMEA Engineering College, affiliated with KTU, focuses on equipping students with a robust understanding of financial markets, corporate finance, and investment strategies crucial for the Indian economic landscape. It delves into the practical aspects of financial decision-making, preparing graduates for the dynamic and rapidly evolving financial services industry in India. The program emphasizes analytical and problem-solving skills to navigate complex financial challenges.

Who Should Apply?

This program is ideal for fresh graduates seeking entry into financial roles in banking, investment, or corporate finance, as well as working professionals looking to upskill in areas like risk management, wealth management, or financial analysis. It also caters to career changers transitioning into the finance sector. Candidates with a strong quantitative aptitude and a keen interest in economic trends and market dynamics will find this specialization particularly rewarding.

Why Choose This Course?

Graduates of this program can expect to pursue India-specific career paths such as financial analysts, portfolio managers, investment bankers, credit analysts, and risk managers within leading financial institutions. Entry-level salaries typically range from INR 4-7 lakhs annually, with significant growth potential up to INR 15-25 lakhs and beyond for experienced professionals. The curriculum often aligns with foundational knowledge required for certifications like NISM and CFA.

Student Success Practices

Foundation Stage

Build a Strong Quantitative Foundation- (Semester 1-2)

Dedicate extra time to master concepts in Managerial Economics, Quantitative Techniques, and Accounting for Management. Form study groups to solve complex problems and practice numerical applications regularly. Focus on clarity in fundamental financial calculations and statistical interpretations.

Tools & Resources

Khan Academy, Investopedia, financial news portals like Livemint and Economic Times, Excel

Career Connection

A solid quantitative base is crucial for all finance roles, enabling accurate financial modeling, data analysis, and informed decision-making in later specialized courses and professional life.

Develop Robust Communication Skills- (Semester 1-2)

Actively participate in Business Communications classes, focusing on improving both written and oral presentation abilities. Seek opportunities for public speaking, group discussions, and formal report writing. Practice conveying complex financial information clearly and concisely.

Tools & Resources

Toastmasters International clubs, online courses on business writing, practice debates, peer feedback sessions

Career Connection

Effective communication is vital for client interactions, team collaboration, and presenting financial analysis to stakeholders, significantly impacting career progression in the finance sector.

Cultivate Financial News Awareness- (Semester 1-2)

Make it a daily habit to read and analyze financial newspapers and economic journals. Follow market trends, understand policy changes, and discuss their implications with peers and faculty. Develop an understanding of how macroeconomic factors influence business and finance.

Tools & Resources

The Economic Times, Business Standard, Mint, RBI circulars, SEBI updates

Career Connection

Staying updated on financial news provides a contextual understanding for theoretical concepts, fosters critical thinking, and prepares students for interviews and real-world market analysis roles.

Intermediate Stage

Engage in Investment and Portfolio Simulation- (Semester 3)

Apply theoretical knowledge from Investment Management and Financial Markets to participate in virtual stock market games or build simulated portfolios. Track performance, analyze market movements, and justify investment decisions.

Tools & Resources

StockGro, Dalal Street Investment Journal virtual trading, BSE/NSE websites

Career Connection

Hands-on experience with investment simulation helps develop practical analytical skills, risk assessment, and decision-making abilities essential for roles in portfolio management, equity research, and wealth advisory.

Pursue Relevant Internships and Projects- (Semester 3)

Actively seek and complete internships in financial institutions, banks, or corporate finance departments. Focus on understanding real-world processes, data handling, and specific financial operations. Undertake a mini-project related to financial analysis or market research.

Tools & Resources

College placement cell, LinkedIn, Internshala, industry networking events

Career Connection

Internships provide invaluable industry exposure, practical skill development, and networking opportunities that are critical for securing full-time employment and understanding potential career paths in finance.

Network with Finance Professionals- (Semester 3-4)

Attend industry webinars, guest lectures, and alumni meets organized by the college or external bodies. Connect with professionals on platforms like LinkedIn, seek mentorship, and understand current industry challenges and trends.

Tools & Resources

LinkedIn, NISM workshops, college alumni network, industry conferences

Career Connection

Building a strong professional network opens doors to mentorship, internship opportunities, job referrals, and insights into various finance career specializations.

Advanced Stage

Deep Dive into Derivatives and Risk Management- (Semester 4)

Beyond coursework, explore advanced concepts in derivatives pricing and risk modeling using case studies. Understand regulatory frameworks in India for financial instruments. Consider pursuing certifications relevant to risk management.

Tools & Resources

NISM certifications (e.g., Derivatives Market, Risk Management), financial journals, Bloomberg Terminal (if accessible), advanced Excel

Career Connection

Proficiency in derivatives and risk management is highly valued in investment banking, corporate treasury, and wealth management, providing a competitive edge for specialized roles.

Excel in Financial Modeling and Valuations- (Semester 4)

Develop advanced skills in financial modeling using spreadsheets for company valuations, project finance, and scenario analysis. Practice building complex financial models from scratch and interpreting their outcomes.

Tools & Resources

Advanced Excel functions, financial modeling courses (e.g., from CFI, Wall Street Prep), real company financial statements for practice

Career Connection

Financial modeling is a core skill for investment banking, private equity, equity research, and corporate finance roles, directly enhancing employability and performance.

Strategic Placement Preparation- (Semester 4)

Begin intensive preparation for campus placements early in Semester 4. This includes mock interviews, resume refinement, aptitude test practice, and specific preparation for finance roles like case studies and technical finance questions.

Tools & Resources

Career services cell, online aptitude test platforms, interview preparation guides, company-specific interview experiences

Career Connection

Thorough preparation maximizes chances of securing desired roles in top financial firms, laying a strong foundation for a successful career start.

Program Structure and Curriculum

Eligibility:

  • Any Bachelor’s degree from APJ Abdul Kalam Technological University or recognized University/Institution with a minimum of 50% marks in aggregate (40% for Kerala SC/ST candidates). Candidates must have passed the degree examination with 10+2+3/4 year pattern and possess a valid score in CAT/KMAT/CMAT.

Duration: 2 years / 4 semesters

Credits: 90 Credits

Assessment: Internal: 40%, External: 60%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
200MBM101Management Principles and Organizational BehaviourCore4Introduction to Management, Planning and Organizing, Controlling and Decision Making, Leadership and Motivation, Organizational Culture and Communication
200MBM103Managerial EconomicsCore4Nature and Scope of Managerial Economics, Demand and Supply Analysis, Production and Cost Analysis, Market Structures and Pricing Strategies, Macroeconomic Concepts and Business Cycles
200MBM105Quantitative Techniques for ManagementCore4Introduction to Statistics and Probability, Probability Distributions, Sampling and Estimation, Hypothesis Testing, Correlation, Regression, and Linear Programming
200MBM107Accounting for ManagementCore4Financial Accounting Concepts, Preparation of Financial Statements, Financial Statement Analysis, Cost Accounting Principles, Budgetary Control and Marginal Costing
200MBM109Business CommunicationsCore3Principles of Effective Communication, Oral and Written Communication, Business Correspondence and Reporting, Presentation Skills and Public Speaking, Group Discussion and Interview Techniques
200MBM111Business Analytics ICore3Introduction to Business Analytics, Data Visualization Techniques, Descriptive Analytics, Basic Predictive Analytics, Spreadsheet Modeling for Business
200MBM181Business Analytics LabLab2Data Manipulation using Spreadsheets, Statistical Software Application, Data Visualization Tools, Report Generation and Interpretation

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
200MBM201Operations ManagementCore4Operations Strategy and Productivity, Forecasting and Capacity Planning, Inventory Management, Quality Management and Control, Project Management Techniques
200MBM203Financial ManagementCore4Introduction to Financial Management, Time Value of Money, Capital Budgeting Decisions, Working Capital Management, Cost of Capital and Capital Structure
200MBM205Marketing ManagementCore4Marketing Environment and Research, Market Segmentation and Targeting, Product and Pricing Decisions, Promotion and Distribution Strategies, Consumer Behavior
200MBM207Human Resource ManagementCore4HR Planning and Job Analysis, Recruitment and Selection, Training and Development, Performance Management and Compensation, Industrial Relations and Employee Welfare
200MBM209Research Methodology for ManagementCore3Research Design and Problem Formulation, Data Collection Methods, Sampling Techniques, Data Analysis and Interpretation, Report Writing and Ethics in Research
200MBM211Business Analytics IICore3Advanced Predictive Analytics, Introduction to Machine Learning, Optimization Techniques, Big Data Concepts, Business Analytics Case Studies
200MBM281Productivity Tools for Business LabLab2Advanced Spreadsheet Applications, Presentation Software Mastery, Project Management Software Tools, Database Management Basics

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
200MBM301Legal & Business EnvironmentCore3Indian Contract Act, Company Law and Forms of Business, Consumer Protection Act, Intellectual Property Rights, Environmental Laws and Business Ethics
200MBM303Business Strategy & EntrepreneurshipCore3Strategic Management Process, Environmental Scanning and Analysis, Strategy Formulation and Implementation, Concepts of Entrepreneurship, Small Business Management and Growth
200MBM305International BusinessCore3Theories of International Trade, Foreign Exchange Markets, Global Financial Institutions, Multinational Corporations, International Marketing and Logistics
200MBM307Business Ethics, Corporate Social Responsibility & GovernanceCore3Ethical Theories in Business, Corporate Governance Principles, Corporate Social Responsibility, Sustainability and Stakeholder Management, Whistleblowing and Ethical Decision Making
200MBM309Project PreliminaryProject2Problem Identification, Literature Review, Research Design and Methodology, Data Collection Plan, Preliminary Data Analysis
200MBF311Investment ManagementElective3Investment Process and Avenues, Financial Markets and Instruments, Equity Valuation and Bond Valuation, Portfolio Management Theories, Mutual Funds and Performance Evaluation
200MBF313Financial Markets and ServicesElective3Indian Financial System, Money Market Operations, Capital Market Structure, Banking and Insurance Sector, Merchant Banking and Mutual Funds

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
200MBM401Project Work and Viva VoceProject18Internship Experience and Learning, Comprehensive Project Report Writing, Data Analysis and Findings, Project Presentation, Viva Voce Examination
200MBF411Derivatives and Risk ManagementElective3Introduction to Derivatives, Futures and Forwards Markets, Options Pricing and Strategies, Swaps and Other Derivatives, Risk Management Techniques
200MBF413International Financial ManagementElective3International Monetary System, Foreign Exchange Exposure Management, Exchange Rate Theories, International Capital Budgeting, International Working Capital Management
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