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MBA in Banking Finance at Lorven International Institute of Management Studies

Lorven International Institute of Management Studies (LIIMS) is a premier AICTE-approved institution in Bengaluru, Karnataka. Established in 2000 and affiliated with Bengaluru City University, LIIMS is known for its strong MBA and MCA programs. The institute maintains a dedicated faculty and boasts a notable placement record, with a highest package of INR 9 LPA.

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Bengaluru, Karnataka

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About the Specialization

What is Banking & Finance at Lorven International Institute of Management Studies Bengaluru?

This Banking & Finance MBA program at Lorven International Institute of Management Studies focuses on equipping students with a deep understanding of financial markets, banking operations, and investment strategies. It is designed to meet the growing demand for skilled professionals in India''''s dynamic banking and financial services sector, offering a blend of theoretical knowledge and practical application, aligned with current industry trends and regulatory frameworks.

Who Should Apply?

This program is ideal for fresh graduates seeking entry into financial institutions, commercial banking roles, or investment firms. It also caters to working professionals aiming to upskill for career advancement in finance, or those transitioning into the banking sector from related fields. Candidates with a strong quantitative aptitude, analytical mindset, and an interest in economic trends are particularly suited for this specialization.

Why Choose This Course?

Graduates can expect diverse career paths in commercial banking, investment banking, wealth management, risk management, and fintech in India. Entry-level salaries typically range from INR 3-6 LPA, growing significantly with experience in leading Indian public, private, and foreign banks, NBFCs, and financial consultancies. The program aims to align with professional certifications like NISM and foster strong growth trajectories in the dynamic financial industry.

Student Success Practices

Foundation Stage

Develop Strong Analytical & Quantitative Skills- (Semester 1-2)

Focus rigorously on core subjects like Managerial Economics, Business Statistics, and Quantitative Techniques. Utilize online platforms for practice, solve diverse case studies, and actively participate in peer study groups to master financial calculations, economic reasoning, and data interpretation, which are fundamental to finance.

Tools & Resources

Khan Academy, NPTEL courses on Statistics, Microsoft Excel for data analysis, Business newspapers (Economic Times, Business Standard)

Career Connection

These skills are essential for roles in financial analysis, risk assessment, economic forecasting, and investment research, forming the bedrock for understanding and building complex financial models.

Build Foundational Financial Literacy & Accounting Acumen- (Semester 1-2)

Excel in Accounting for Managers and Financial Management. Strive to deeply understand financial statements, budgeting processes, and basic investment principles. Seek mentorship from faculty for practical insights into corporate finance and engage in projects that involve financial reporting and analysis.

Tools & Resources

Accounting software demos, Virtual stock market games, Financial news portals (Livemint, Moneycontrol), NISM certifications (e.g., Equity Derivatives, Financial Markets Basics)

Career Connection

Crucial for roles in corporate finance, treasury management, credit analysis, and any position requiring sound financial decision-making, reporting, and regulatory compliance.

Cultivate Professional Communication & Networking- (Semester 1-2)

Actively participate in Soft Skills and Managerial Communication courses to enhance verbal and written communication. Join Toastmasters or college debate clubs to improve presentation and public speaking. Attend introductory finance seminars, workshops, and network with alumni and industry professionals on platforms like LinkedIn.

Tools & Resources

LinkedIn, Presentation tools (PowerPoint, Google Slides), College alumni network portal, Industry webinars and conferences

Career Connection

Develops critical soft skills for client interactions, effective team collaboration, persuasive presentations, and successful interviews, which are vital for career progression in banking and finance.

Intermediate Stage

Deep Dive into Specialization Electives & Certifications- (Semester 3-4)

Strategically choose Banking & Finance electives that align with your specific career interests. Pursue relevant NISM or NCFM certifications (e.g., Equity Derivatives, Mutual Fund Distributors, Investment Advisory, Risk Management) during this stage to gain practical, industry-recognized skills and specialized knowledge.

Tools & Resources

NISM modules and study guides, NSE Academy courses, Certification exam preparatory materials, Access to financial terminals (Bloomberg/Refinitiv, if available)

Career Connection

Directly enhances employability for specific roles in investment banking, portfolio management, risk management, wealth advisory, and financial analysis, demonstrating expertise to potential employers.

Seek Meaningful Internships & Industry Projects- (Semester 3-4)

Actively apply for internships in reputable banks, NBFCs, fintech companies, or asset management firms. Focus on gaining hands-on experience in areas like credit analysis, market research, financial product development, or risk assessment. Engage deeply in the mandatory internship project to solve real-world business problems.

Tools & Resources

College placement cell, Internship portals (Internshala, LinkedIn Jobs), Faculty network for referrals, Company websites for career sections

Career Connection

Provides invaluable real-world exposure, builds professional contacts, allows application of classroom knowledge, and often leads to pre-placement offers (PPOs), accelerating career entry and development.

Develop Financial Modeling & Data Analytics Skills- (Semester 3-4)

Take elective courses like Financial Modeling and Analytics for Banking & Finance seriously. Practice building robust financial models in Excel for valuation, forecasting, and scenario analysis. Additionally, learn basic data analysis tools (e.g., R, Python, SQL) to effectively interpret large financial datasets.

Tools & Resources

Microsoft Excel for financial modeling, Online courses on financial modeling (e.g., Wall Street Prep), Basic Python/R tutorials for finance (e.g., Coursera, DataCamp), Kaggle datasets for practice

Career Connection

These are highly sought-after skills for roles in equity research, investment banking, financial analysis, risk management, and quantitative finance, providing a competitive edge in the job market.

Advanced Stage

Excel in Project Work and Viva-Voce- (Semester 4)

Dedicate significant effort to the final Project Report, choosing a topic highly relevant to Banking & Finance and conducting thorough research. Ensure comprehensive data analysis and present findings effectively in the report. Prepare diligently for the Viva-Voce examination, anticipating questions and practicing clear articulation of your research.

Tools & Resources

Research databases (JSTOR, EBSCOhost), Statistical software (SPSS, R, Python), Academic writing guides, Mock viva sessions with faculty and peers

Career Connection

Showcases independent research capabilities, critical thinking, problem-solving skills, and a deep understanding of a specific financial domain, which are critical attributes sought for higher-level analytical and managerial roles.

Master Placement Preparation Strategies- (Semester 4)

Actively engage with the college placement cell, attend career counseling sessions, and participate in mock interviews, group discussions, and aptitude test preparation workshops. Tailor your resume and cover letters meticulously for specific banking and finance roles, highlighting relevant skills, projects, and certifications.

Tools & Resources

College placement resources and workshops, Online aptitude test platforms (indiabix.com, PrepInsta), Interview preparation apps and guides, LinkedIn for company and role research

Career Connection

Directly impacts securing desired placements in top financial organizations, ensuring a smooth and successful transition into the professional world with competitive compensation packages.

Build a Professional Brand and Network Strategically- (Semester 3-4 (ongoing))

Enhance your professional online presence, particularly on LinkedIn, showcasing your skills, certifications, and project work. Actively attend industry events, webinars, and alumni meet-ups. Engage meaningfully with financial professionals and potential employers to expand your professional network and discover opportunities.

Tools & Resources

Professional social media platforms (LinkedIn), Industry event calendars and finance-specific forums, Professional associations (e.g., CFA Society India student memberships, NISM forums)

Career Connection

Creates strong visibility within the financial community, opens doors to unadvertised job opportunities, and fosters long-term career growth, mentorship, and continuous learning beyond initial placements.

Program Structure and Curriculum

Eligibility:

  • Bachelor''''s Degree in any discipline with a minimum of 50% marks (45% for SC/ST/Category-I) from a recognized university, and a valid score in PGCET/CAT/MAT/CMAT/GMAT/KMAT/ATMA.

Duration: 2 years (4 semesters)

Credits: 92 Credits

Assessment: Internal: 50%, External: 50%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
1.1Management and Organizational BehaviorCore4Management Process, Evolution of Management Thought, Planning and Organizing, Staffing and Directing, Controlling, Organizational Behavior, Individual and Group Dynamics, Leadership and Motivation, Stress Management
1.2Managerial EconomicsCore4Nature and Scope of Managerial Economics, Demand Analysis, Supply Analysis, Production and Cost Analysis, Market Structures, Pricing Strategies, Profit Management, Capital Budgeting
1.3Accounting for ManagersCore4Financial Accounting Concepts, Accounting Cycle, Financial Statements Analysis, Depreciation and Inventory Valuation, Cash Flow Statement, Management Accounting Introduction, Cost Accounting, Budgetary Control
1.4Business StatisticsCore4Introduction to Statistics, Measures of Central Tendency, Measures of Dispersion, Probability and Distributions, Sampling Methods, Hypothesis Testing, Correlation and Regression Analysis, Time Series Analysis
1.5Marketing ManagementCore4Marketing Concepts and Environment, Consumer Behavior, Market Segmentation, Targeting and Positioning, Product Decisions, Pricing Strategies, Distribution Channels, Promotion Decisions
1.6Business Perspectives and EthicsCore4Business Environment, Economic Systems, Social Responsibility of Business, Business Ethics, Corporate Governance, Sustainability and CSR, Legal and Regulatory Framework
1.7Soft Skills for ManagersSoft Skill2Communication Skills, Interpersonal Skills, Presentation Skills, Time Management, Stress Management, Conflict Resolution, Team Building

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
2.1Human Resource ManagementCore4HR Concepts and Functions, HR Planning and Job Analysis, Recruitment and Selection, Training and Development, Performance Management, Compensation and Benefits, Industrial Relations, HR Challenges
2.2Financial ManagementCore4Financial Goals and Environment, Capital Budgeting Decisions, Cost of Capital, Working Capital Management, Dividend Policy, Financial Markets and Instruments, Sources of Finance
2.3Operations ManagementCore4Operations Strategy, Process Design and Layout, Facility Location, Production Planning and Control, Inventory Management, Quality Management, Supply Chain Management, Lean Operations
2.4Research MethodologyCore4Research Process, Research Design Types, Sampling Techniques, Data Collection Methods, Questionnaire Design, Scaling Techniques, Data Analysis Tools, Report Writing
2.5Quantitative Techniques for Business DecisionsCore4Linear Programming, Transportation Problem, Assignment Problem, Network Analysis (PERT/CPM), Decision Theory, Game Theory, Simulation, Queuing Theory
2.6Entrepreneurship & Start-up ManagementCore4Entrepreneurial Process, Business Idea Generation, Business Plan Development, Funding for Start-ups, Legal Aspects of Start-ups, Marketing for New Ventures, Managing Growth, Innovation
2.7Managerial CommunicationSoft Skill2Business Communication Essentials, Oral Communication Skills, Written Communication (Reports, Memos), Presentation Skills, Negotiation Skills, Cross-Cultural Communication, Digital Communication

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
3.1Strategic ManagementCore4Strategic Management Process, Environmental Analysis (PESTEL), Internal Analysis (SWOT, Value Chain), Strategy Formulation, Strategy Implementation, Strategy Evaluation and Control, Corporate Strategy
3.2Legal Aspects of BusinessCore4Indian Contract Act, Sale of Goods Act, Consumer Protection Act, Companies Act, Negotiable Instruments Act, Intellectual Property Rights, Cyber Laws
3.3International Business DynamicsCore4International Business Environment, Theories of International Trade, Foreign Exchange Markets, International Financial Management, Global Marketing Strategies, Entry Modes into International Business, International Human Resource Management
3.4.1Risk Management in BankingElective (Banking & Finance Group I)4Introduction to Risk Management, Types of Risks in Banking, Credit Risk Management, Market Risk Management, Operational Risk, Liquidity Risk, Regulatory Risk Management, Risk Mitigation Techniques
3.4.2International Financial Markets & ServicesElective (Banking & Finance Group I)4International Financial System, Foreign Exchange Market, Eurocurrency and Eurobond Markets, International Derivatives, International Banking Operations, Trade Finance, Merchant Banking
3.4.3Financial DerivativesElective (Banking & Finance Group I)4Introduction to Derivatives, Forwards and Futures Contracts, Options and Their Strategies, Swaps and Their Applications, Pricing of Derivatives, Hedging Techniques, Speculation with Derivatives
3.5.1Corporate Valuation and Mergers & AcquisitionsElective (Banking & Finance Group II)4Valuation Principles and Methods, Discounted Cash Flow (DCF) Valuation, Relative Valuation, Mergers & Acquisitions Process, M&A Strategies and Financing, Due Diligence, Post-Merger Integration
3.5.2Fintech & Digital BankingElective (Banking & Finance Group II)4Introduction to Fintech, Digital Payments Systems, Blockchain and Cryptocurrency, Artificial Intelligence in Finance, Open Banking and APIs, Neo Banks and Challenger Banks, Cyber Security in Banking
3.5.3Rural & MicrofinanceElective (Banking & Finance Group II)4Rural Economy and Development, Agricultural Finance, Microfinance Institutions (MFIs), Self-Help Groups (SHGs), Models of Microfinance, Impact of Microfinance, Financial Inclusion

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
4.1Project ManagementCore4Project Life Cycle, Project Planning and Scheduling, Project Budgeting and Cost Control, Risk Management in Projects, Project Monitoring and Control, Project Team Management, Project Closure
4.2Corporate Governance & Business EthicsCore4Principles of Corporate Governance, SEBI Guidelines on Corporate Governance, Role of Board of Directors, Shareholder Rights and Responsibilities, Stakeholder Management, Ethical Decision Making, Whistleblowing Policy
4.3Internship & Project ReportInternship4Internship Experience, Industry Problem Identification, Data Collection and Analysis, Report Writing, Practical Application of Concepts, Industry Exposure
4.4Project Report and Viva-VoceProject Work4In-depth Research Project, Methodology and Findings, Recommendations, Presentation Skills, Oral Examination (Viva-Voce)
4.5.1Bank Management & Financial ServicesElective (Banking & Finance Group I)4Commercial Banking Operations, Investment Banking, Non-Banking Financial Companies (NBFCs), Treasury Management in Banks, Retail Banking Products, Digital Banking Services, Asset-Liability Management
4.5.2Investment Analysis & Portfolio ManagementElective (Banking & Finance Group I)4Investment Process, Financial Markets and Instruments, Securities Analysis (Fundamental & Technical), Modern Portfolio Theory, Asset Allocation, Portfolio Performance Evaluation, Behavioral Finance
4.5.3International Banking & Forex ManagementElective (Banking & Finance Group I)4Structure of International Banking, Correspondent Banking, Offshore Banking and Tax Havens, Foreign Exchange Market Dynamics, Exchange Rate Determination Theories, Foreign Exchange Exposure Management, Currency Risk Hedging
4.6.1Financial Modeling and ValuationElective (Banking & Finance Group II)4Introduction to Financial Modeling, Building Integrated Financial Models, Forecasting Financial Statements, Equity Valuation Models, Scenario Analysis and Sensitivity Analysis, Mergers & Acquisitions Modeling, Advanced Excel for Finance
4.6.2Analytics for Banking & FinanceElective (Banking & Finance Group II)4Data Analytics in Banking Sector, Predictive Analytics for Customer Behavior, Credit Scoring Models, Fraud Detection Techniques, Market Analytics, Risk Analytics and Regulatory Reporting, Big Data in Finance
4.6.3Wealth ManagementElective (Banking & Finance Group II)4Introduction to Wealth Management, Financial Planning Process, Investment Products for Wealth Creation, Retirement Planning, Estate Planning, Tax Planning, Behavioral Finance in Wealth Management
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