

MBA in Finance at Lorven International Institute of Management Studies


Bengaluru, Karnataka
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About the Specialization
What is Finance at Lorven International Institute of Management Studies Bengaluru?
This Finance program at Lorven International Institute of Management Studies focuses on equipping students with deep analytical and strategic financial decision-making skills crucial for the dynamic Indian economy. It covers a broad spectrum from corporate finance to investment management and emerging FinTech trends, preparing professionals for high-demand roles in a rapidly evolving financial landscape. The curriculum is designed to integrate theoretical knowledge with practical applications relevant to both traditional and modern financial sectors, aligned with the Bengaluru City University framework.
Who Should Apply?
This program is ideal for commerce, management, or economics graduates seeking entry into the finance industry, as well as working professionals looking to pivot into finance or enhance their existing financial acumen. Individuals with strong quantitative aptitude and an interest in financial markets, corporate strategy, or wealth creation will find this program particularly rewarding. It suits those aiming for leadership roles in financial institutions, corporations, or entrepreneurial ventures across India.
Why Choose This Course?
Graduates of this program can expect to secure India-specific career paths such as Financial Analyst, Investment Banker, Portfolio Manager, Risk Manager, Wealth Advisor, or FinTech Specialist. Entry-level salaries typically range from INR 4-7 lakhs per annum, with experienced professionals potentially earning INR 15-30 lakhs or more. The curriculum provides a strong foundation for professional certifications like CFA or NISM, offering a pathway for accelerated career growth in Indian financial services.

Student Success Practices
Foundation Stage
Build a Strong Quantitative Foundation- (Semester 1-2)
Dedicate significant time to mastering core subjects like Business Statistics, Quantitative Techniques for Management, and Accounting for Business Decisions. Utilize online courses and practice problems to solidify concepts essential for financial analysis.
Tools & Resources
Khan Academy, NPTEL courses, Specific textbooks and solution manuals, Excel for data analysis
Career Connection
Strong quantitative skills are non-negotiable for finance roles, aiding in data interpretation, financial modeling, and analytical decision-making, crucial for entry-level analyst positions in India.
Engage in Early Financial News & Market Analysis- (Semester 1-2)
Develop a habit of reading financial newspapers (e.g., The Economic Times, Business Standard) and reputable financial news websites daily. Follow market trends, company earnings, and macroeconomic indicators to build financial acumen.
Tools & Resources
Moneycontrol.com, Livemint, NSE/BSE websites, Investing.com, BloombergQuint
Career Connection
Staying updated on market dynamics enhances understanding of concepts taught in Financial Management and Investment Management, providing a competitive edge in interviews and fostering informed career choices.
Join Finance Clubs & Case Competitions- (Semester 1-2)
Actively participate in the institute''''s finance club activities, workshops, and inter-collegiate case study competitions. This helps in networking with peers, faculty, and industry experts while applying theoretical knowledge to practical scenarios.
Tools & Resources
Institutional clubs, Inter-college competition platforms (e.g., Dare2Compete), Finance-related workshops
Career Connection
Develops presentation, teamwork, and problem-solving skills, which are highly valued in recruitment processes for financial roles and contribute to early professional development.
Intermediate Stage
Pursue Specialised NISM Certifications- (Semester 3)
While studying electives like Investment Management or Derivatives, simultaneously prepare for and attempt NISM (National Institute of Securities Markets) certifications relevant to your chosen sub-specialization in finance.
Tools & Resources
NISM study materials, Online practice tests, NISM official website, Dedicated coaching classes if available
Career Connection
NISM certifications are highly recognized in the Indian securities market, significantly boosting employability for roles in brokerage, investment banking, and fund management across India.
Undertake Value-Adding Internships- (Semester 3 (summer or mid-program break))
Actively seek and complete a rigorous internship (e.g., 3.5 Internship Report in Sem 3) in a financial firm, bank, or the finance department of a corporation. Focus on gaining hands-on experience in financial analysis, reporting, or market research.
Tools & Resources
Institute''''s placement cell, LinkedIn, Internshala, Company career pages
Career Connection
Internships provide practical exposure, build industry networks, and often lead to pre-placement offers, making graduates job-ready and attractive to recruiters in the Indian financial sector.
Develop Advanced Financial Software Proficiency- (Semester 3-4)
Beyond Excel, learn and practice using advanced financial software and tools commonly used in the industry, such as Tally, SAP FICO, or basic statistical packages like R/Python for financial data analysis.
Tools & Resources
Official software tutorials, Online courses (Coursera, Udemy, edX), Institutional labs
Career Connection
Proficiency in industry-standard software enhances efficiency and analytical capabilities, making you a more valuable asset in financial analysis, reporting, and FinTech roles, particularly in data-driven environments.
Advanced Stage
Execute a Comprehensive Research Project- (Semester 4)
For the 4.4 Project Work, choose a topic aligned with your specialization (e.g., ''''Impact of FinTech on Indian Banking,'''' ''''Valuation of Indian Startups'''') and conduct in-depth research, applying learned concepts and analytical tools.
Tools & Resources
Academic databases, Industry reports, Statistical software (SPSS, R, Python), Financial data terminals (if available)
Career Connection
A well-executed project demonstrates analytical rigor, independent research capability, and domain expertise, serving as a powerful talking point in job interviews and showcasing practical skills to potential employers.
Intensify Placement Preparation and Mock Interviews- (Semester 4)
Actively engage with the placement cell, participate in mock interviews, group discussions, and aptitude test preparation. Tailor your resume and cover letter for specific finance roles you are targeting.
Tools & Resources
Placement cell resources, Online aptitude test platforms, Interview prep guides, Peer groups for GD practice
Career Connection
Systematic and targeted preparation significantly increases chances of securing desirable placements in top financial firms and corporate finance departments, ensuring a smooth transition into the professional world.
Network with Industry Professionals and Alumni- (Semester 3-4)
Attend industry seminars, webinars, and alumni events. Connect with professionals on LinkedIn, seeking mentorship and insights into career opportunities and industry trends, especially within the Indian financial landscape.
Tools & Resources
LinkedIn, Industry conferences, Alumni meetups, Informational interviews
Career Connection
Networking opens doors to hidden job opportunities, provides valuable career guidance, and helps build professional relationships crucial for long-term career growth in the competitive finance sector in India.
Program Structure and Curriculum
Eligibility:
- Bachelor''''s Degree with minimum 50% marks (45% for SC/ST/Cat-I candidates). Must have a valid score in PGCET/K-MAT/CMAT/XAT/MAT/GMAT/ATMA/ICET or equivalent entrance examination.
Duration: 2 years (4 semesters)
Credits: 100 Credits
Assessment: Internal: 40%, External: 60%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 1.1 | Management Process & Organizational Behavior | Core | 4 | Management Concepts, Planning & Decision Making, Organizing & Staffing, Foundations of OB, Personality & Perception, Motivation & Leadership, Group Dynamics & Team Building |
| 1.2 | Managerial Economics | Core | 4 | Introduction to Managerial Economics, Demand Analysis & Forecasting, Production & Cost Analysis, Market Structures, Pricing Strategies, Macroeconomics for Business |
| 1.3 | Accounting for Business Decisions | Core | 4 | Financial Accounting Fundamentals, Accounting Cycle, Financial Statements, Ratio Analysis, Cost Accounting Concepts, Budgeting & Budgetary Control |
| 1.4 | Business Statistics | Core | 4 | Introduction to Statistics, Data Presentation & Measures, Probability & Distributions, Sampling & Estimation, Hypothesis Testing, Correlation & Regression |
| 1.5 | Marketing Management | Core | 4 | Marketing Concepts & Environment, Consumer Behavior, Market Segmentation & Targeting, Product & Pricing Decisions, Promotion & Distribution Decisions, Digital Marketing |
| 1.6 | Legal Aspects of Business | Core | 4 | Indian Contract Act, Sale of Goods Act, Negotiable Instruments Act, Companies Act, Consumer Protection Act, Intellectual Property Rights |
| 1.7 | Research Methodology | Core | 4 | Research Process & Design, Data Collection Methods, Sampling Design, Measurement & Scaling, Data Preparation & Analysis, Report Writing & Ethics |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 2.1 | Human Capital Management | Core | 4 | HRM Functions & Challenges, HR Planning & Job Analysis, Recruitment & Selection, Training & Development, Performance Management, Compensation & Benefits, Employee Relations |
| 2.2 | Business Environment | Core | 4 | Dimensions of Business Environment, Economic Environment, Political & Legal Environment, Socio-Cultural Environment, Technological Environment, Global Environment |
| 2.3 | Financial Management | Core | 4 | Introduction to Financial Management, Time Value of Money, Investment Decisions (Capital Budgeting), Financing Decisions (Cost of Capital), Working Capital Management, Dividend Decisions |
| 2.4 | Operations Management | Core | 4 | Operations Strategy, Product & Process Design, Facility Location & Layout, Production Planning & Control, Inventory Management, Quality Management, Supply Chain Management Basics |
| 2.5 | Quantitative Techniques for Management | Core | 4 | Linear Programming, Transportation & Assignment Problems, Decision Theory, Game Theory, Queuing Theory, Simulation, Network Analysis (PERT/CPM) |
| 2.6 | Entrepreneurship & Ethics | Core | 4 | Entrepreneurial Process, Business Idea Generation, Business Plan, Forms of Business Organization, Entrepreneurial Finance, Corporate Governance & Ethics, CSR |
| 2.7 | Skill Development Course - Financial Modelling | Skill Development | 2 | Introduction to Financial Modeling, Excel for Financial Modeling, Financial Statement Modeling, Valuation Modeling, Sensitivity Analysis, Scenario Analysis |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 3.1 | Strategic Management | Core | 4 | Strategy Formulation, Environmental Scanning, Strategic Alternatives, Strategy Implementation, Strategic Control, Corporate Governance & Business Ethics |
| 3.2 | Operations Research | Core | 4 | Linear Programming, Transportation & Assignment, Network Analysis (PERT/CPM), Inventory Control, Queuing Theory, Game Theory, Simulation |
| 3.3 | International Business | Core | 4 | Globalization & IB Environment, Theories of International Trade, Foreign Direct Investment, Exchange Rate Mechanism, International Financial Markets, Export-Import Management |
| 3.4 | Management Information System | Core | 4 | Information Systems & Organizations, Data Management, E-commerce, Decision Support Systems, CRM & SCM, IT Security & Ethics, Emerging Technologies |
| 3.F.1 | Investment Management | Elective (Finance) | 4 | Investment Process, Securities Markets, Risk & Return, Portfolio Theory, Equity Valuation, Bond Valuation, Mutual Funds |
| 3.F.2 | Corporate Taxation | Elective (Finance) | 4 | Overview of Income Tax Act, Income from Business/Profession, Capital Gains, Deductions, Corporate Tax Planning, GST Overview, Tax Compliance |
| 3.F.3 | Financial Markets & Services | Elective (Finance) | 4 | Indian Financial System, Money Market, Capital Market (Primary & Secondary), Financial Intermediaries, Merchant Banking, Leasing & Hire Purchase, Credit Rating |
| 3.F.4 | Strategic Financial Management | Elective (Finance) | 4 | Value Creation, Shareholder Wealth Maximization, Capital Structure Theories, Dividend Policy, Mergers & Acquisitions Valuation, Corporate Restructuring, Risk Management in SFM |
| 3.F.5 | International Financial Management | Elective (Finance) | 4 | Forex Market, Exchange Rate Theories, Currency Risk Management, International Capital Budgeting, International Working Capital Management, International Taxation, FDI & Portfolio Investment |
| 3.F.6 | Derivatives & Risk Management | Elective (Finance) | 4 | Introduction to Derivatives, Forwards & Futures, Options, Swaps, Hedging Strategies, Speculation & Arbitrage, Credit Risk Management, Market Risk Management |
| 3.5 | Internship Report | Internship | 4 | |
| 3.6 | Skill Development Course - Advanced Excel for Business | Skill Development | 2 | Advanced Excel Functions, Data Analysis Tools, Pivot Tables & Charts, What-If Analysis, Macros & VBA Basics, Data Validation |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 4.1 | Business Analytics | Core | 4 | Introduction to Business Analytics, Descriptive Analytics, Predictive Analytics, Prescriptive Analytics, Data Mining, Visualization Tools, Big Data Analytics |
| 4.2 | Supply Chain Management | Core | 4 | SCM Concepts & Strategies, Logistics Management, Inventory & Warehousing, Transportation, SCM Information Systems, Global Supply Chain, Performance Measurement |
| 4.3 | Project Management | Core | 4 | Project Life Cycle, Project Planning & Scheduling, Project Organization, Project Cost Management, Project Risk Management, Project Quality Management, Project Control & Termination |
| 4.F.7 | Behavioral Finance | Elective (Finance) | 4 | Foundations of Behavioral Finance, Cognitive Biases, Emotional Biases, Heuristics, Prospect Theory, Market Anomalies, Investor Psychology |
| 4.F.8 | Financial Econometrics | Elective (Finance) | 4 | Introduction to Econometrics, Simple & Multiple Regression, Time Series Models, ARIMA Models, ARCH/GARCH Models, Panel Data Analysis, Applications in Finance |
| 4.F.9 | Mergers, Acquisitions & Corporate Restructuring | Elective (Finance) | 4 | Types of M&A, Valuation of M&A, Financing M&A, Post-Merger Integration, Legal & Regulatory Aspects, Divestitures & Buybacks, LBOs |
| 4.F.10 | Financial Technology (FinTech) | Elective (Finance) | 4 | Introduction to FinTech, Digital Payments, Blockchain & Cryptocurrency, Robo-Advisors, Peer-to-Peer Lending, InsurTech & RegTech, AI & Machine Learning in Finance |
| 4.F.11 | Fixed Income Securities | Elective (Finance) | 4 | Bond Market Overview, Bond Pricing, Yield Measures, Interest Rate Risk, Duration & Convexity, Debt Instruments, Fixed Income Derivatives, Portfolio Strategies |
| 4.F.12 | Wealth Management | Elective (Finance) | 4 | Introduction to Wealth Management, Financial Planning Process, Investment Products, Retirement Planning, Estate Planning, Tax Planning, Risk Management for Wealth, Behavioral Aspects |
| 4.4 | Project Work | Project | 4 |




