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MBA-GENERAL-SPM in Finance at Pandit Deendayal Energy University

Pandit Deendayal Energy University (PDEU), a self-governing State Private University in Gandhinagar, Gujarat, established in 2007, is a premier institution. It excels in diverse fields like engineering, management, and liberal arts, offering a vibrant 100-acre campus and strong career outcomes, attracting students nationwide.

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Gandhinagar, Gujarat

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About the Specialization

What is Finance at Pandit Deendayal Energy University Gandhinagar?

This Finance specialization program at Pandit Deendayal Energy University focuses on equipping future managers with robust analytical and decision-making skills crucial for the dynamic financial sector. It blends theoretical foundations with practical applications, addressing contemporary challenges and opportunities in the Indian financial landscape, including regulatory changes and technological advancements. The curriculum is designed to foster a deep understanding of financial markets, instruments, and risk management.

Who Should Apply?

This program is ideal for fresh graduates from commerce, management, or engineering backgrounds seeking entry into diverse financial roles within India. It also caters to working professionals aiming to enhance their finance expertise, and career changers transitioning into finance. Candidates passionate about capital markets, corporate finance, or financial services, possessing quantitative aptitude, will find this specialization particularly rewarding.

Why Choose This Course?

Graduates of this program can expect to pursue India-specific career paths in investment banking, financial analysis, portfolio management, credit risk, and FinTech. Entry-level salaries typically range from INR 5-8 lakhs annually, with experienced professionals earning significantly higher. Graduates are well-positioned for roles in leading Indian banks, mutual funds, broking firms, and corporate finance departments, aligning with certifications like CFA or NISM.

Student Success Practices

Foundation Stage

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

Dedicate extra time to master Business Statistics, Quantitative Techniques, and Financial Accounting concepts. Utilize online resources like Khan Academy, NPTEL, and practice problems regularly. Form study groups to solve numerical problems collaboratively.

Tools & Resources

NPTEL courses on Statistics/QT, Excel for data analysis, Relevant textbooks, Peer study groups

Career Connection

Strong quantitative skills are fundamental for financial modeling, data analysis, and informed decision-making in all finance roles, enhancing employability for analytical positions.

Develop Excellent Communication Skills- (Semester 1-2)

Actively participate in Business Communication classes, engage in public speaking opportunities, group discussions, and mock interviews. Practice writing professional emails, reports, and presentations. Seek feedback from professors and peers to refine verbal and written clarity.

Tools & Resources

Toastmasters International (local chapters), Online grammar tools (Grammarly), Business news publications, University career services workshops

Career Connection

Effective communication is vital for client interactions, team collaboration, and presenting financial insights, which are critical for career progression in finance.

Engage with Basic Financial Concepts and News- (Semester 1-2)

Beyond textbooks, start reading business newspapers (e.g., The Economic Times, Business Standard) and financial magazines regularly. Follow market trends, understand basic economic indicators, and discuss current events with faculty and batchmates to contextualize theoretical knowledge.

Tools & Resources

Reputable Indian financial news portals (Moneycontrol, Livemint), Business news channels, Financial blogs

Career Connection

Staying updated on current affairs and economic developments demonstrates keen business acumen, crucial for interviews and understanding the real-world application of finance.

Intermediate Stage

Pursue Specialization-Relevant Certifications- (Semester 3)

As you delve into finance electives, identify and pursue foundational certifications like NISM Series V-A (Mutual Fund Distributors) or NISM Equity Derivatives. This provides practical knowledge and a competitive edge, validating your interest and commitment to finance.

Tools & Resources

NISM study material, Mock tests from various platforms, Online coaching for NISM

Career Connection

Certifications enhance your resume, demonstrate industry readiness, and can open doors to specific roles in investment, trading, or wealth management.

Develop Advanced Excel and Financial Modeling Skills- (Semester 3)

Enroll in workshops or online courses specifically focused on advanced Excel functions for finance and financial modeling techniques (e.g., DCF, LBO). Practice building models for case studies and industry scenarios. This is a non-negotiable skill for finance professionals.

Tools & Resources

Udemy/Coursera courses on Financial Modeling, EduPristine, AnalystPrep, Dedicated financial modeling software trials

Career Connection

Proficiency in financial modeling is highly sought after by investment banks, equity research firms, and corporate finance departments, directly impacting placement opportunities.

Engage in Industry-Specific Projects and Internships- (Semester 3)

Actively seek out and participate in internships (as mandated by the curriculum, and potentially additional ones) and live projects within the financial services industry. Focus on applying theoretical knowledge, learning industry tools, and building a professional network.

Tools & Resources

University career services, LinkedIn, Industry networking events, Company websites for internship openings

Career Connection

Internships provide invaluable practical experience, lead to potential pre-placement offers, and build a professional network critical for long-term career success in finance.

Advanced Stage

Network with Finance Professionals and Alumni- (Semester 4)

Actively leverage LinkedIn, attend industry conferences, and participate in alumni events. Reach out to professionals for informational interviews to gain insights into various finance roles, current trends, and career paths. Mentorship can provide strategic guidance.

Tools & Resources

LinkedIn Premium, Industry associations (e.g., FICCI, CII events), PDEU Alumni network

Career Connection

Networking is crucial for discovering hidden job opportunities, getting referrals, and building long-term professional relationships that accelerate career growth and provide support.

Master Interview Skills and Case Study Analysis- (Semester 4)

Participate in mock interviews tailored for finance roles, focusing on behavioral questions, technical finance concepts, and case study analysis. Practice articulating your thought process for financial problems and demonstrating problem-solving abilities.

Tools & Resources

Mock interview platforms, Case study books (e.g., Victor Cheng), University placement cell resources, Peer group practice sessions

Career Connection

Strong interview performance, especially in technical and case study rounds, is paramount for securing desired placements in top finance companies.

Develop a Specialization-Focused Project/Dissertation- (Semester 4)

For your final project/dissertation (23MB401), choose a topic within your finance specialization that aligns with your career aspirations. Conduct thorough research, apply advanced analytical tools, and aim to solve a real-world problem or explore an emerging trend in Indian finance.

Tools & Resources

Academic databases, Industry reports, Financial software (e.g., Bloomberg Terminal if available, Python/R for analysis), Faculty mentorship

Career Connection

A well-executed, impactful project demonstrates expertise, research capabilities, and practical application of knowledge, serving as a powerful portfolio piece for job interviews.

Program Structure and Curriculum

Eligibility:

  • Bachelor’s Degree in any discipline with 50% marks or equivalent CGPA. Final year students can also apply. Valid CAT/XAT/NMAT/CMAT/GMAT Score. Work Experience (desirable).

Duration: 2 years / 4 semesters

Credits: 103 Credits

Assessment: Internal: 50%, External: 50%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
23MB101Management Principles & PracticesCore4Introduction to Management, Planning and Organizing, Staffing and Directing, Controlling Functions, Decision Making Techniques
23MB102Managerial EconomicsCore4Nature and Scope of Managerial Economics, Demand and Supply Analysis, Production and Cost Analysis, Market Structures and Pricing, Macroeconomic Environment
23MB103Financial Accounting for ManagersCore4Accounting Concepts and Principles, Recording Business Transactions, Preparation of Financial Statements, Analysis of Financial Statements, Cash Flow and Fund Flow Statements
23MB104Marketing ManagementCore4Core Marketing Concepts, Market Segmentation, Targeting, Positioning, Product and Pricing Strategy, Promotion and Distribution Strategies, Services Marketing
23MB105Organizational BehaviorCore4Foundations of Individual Behavior, Perception, Learning, and Attitudes, Motivation Theories, Group Dynamics and Team Building, Leadership and Power
23MB106Business StatisticsCore4Data Collection and Presentation, Measures of Central Tendency and Dispersion, Probability and Probability Distributions, Sampling and Estimation, Hypothesis Testing
23MB107Business CommunicationCore2Process of Communication, Oral and Written Communication, Business Correspondence, Presentation Skills, Group Discussion and Interview Skills
23MB108Corporate Social ResponsibilityCore2Concept and Scope of CSR, Business Ethics and Values, Stakeholder Management, Environmental Responsibility, CSR Initiatives in India

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
23MB201Operations ManagementCore4Operations Strategy and Productivity, Process Design and Layout, Capacity and Location Planning, Inventory Management, Quality Management and Lean Operations
23MB202Research MethodologyCore4Research Design and Problem Formulation, Data Collection Methods, Sampling Techniques, Scaling and Measurement, Data Analysis and Report Writing
23MB203Financial ManagementCore4Goals of Financial Management, Capital Budgeting Decisions, Cost of Capital and Capital Structure, Working Capital Management, Dividend Policy Decisions
23MB204Human Resource ManagementCore4HR Planning and Job Analysis, Recruitment and Selection, Training and Development, Performance Management, Compensation and Industrial Relations
23MB205Strategic ManagementCore4Strategic Intent and Analysis, Environmental Scanning, Strategy Formulation, Strategy Implementation, Strategic Control
23MB206Quantitative Techniques for ManagementCore4Linear Programming, Transportation and Assignment Problems, Network Analysis (PERT/CPM), Decision Theory, Game Theory and Simulation
23MB207Business Environment & LawCore2Economic and Political Environment, Social and Cultural Environment, Consumer Protection Act, Companies Act, Contract Act
23MB208Business AnalyticsCore2Introduction to Business Analytics, Descriptive Analytics, Predictive Analytics, Prescriptive Analytics, Data Visualization Tools

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
23MB301Internship (8-10 Weeks)Core4Industry Exposure, Project Report Preparation, Presentation Skills, Professional Networking, Application of Theoretical Knowledge
23MB302Entrepreneurship DevelopmentCore3Concept of Entrepreneurship, Opportunity Identification, Business Plan Formulation, Funding for Start-ups, Legal and Regulatory Aspects
23MBF301Security Analysis & Portfolio ManagementElective (Finance)3Investment Environment and Process, Risk and Return Concepts, Valuation of Equity and Debt, Modern Portfolio Theory, Portfolio Performance Evaluation
23MBF302Financial DerivativesElective (Finance)3Introduction to Derivatives, Futures Contracts and Markets, Options and Option Valuation, Swaps and Other Derivatives, Hedging Strategies with Derivatives
23MBF303International Financial ManagementElective (Finance)3International Monetary System, Foreign Exchange Market, Management of Exchange Rate Risk, International Capital Budgeting, International Working Capital Management
23MBF304Financial Institutions & MarketsElective (Finance)3Indian Financial System Overview, Money Market Operations, Capital Market Instruments and Operations, Banking Sector in India, Non-Banking Financial Companies (NBFCs)
23MBF305Corporate Restructuring, Valuation & M&AElective (Finance)3Business Valuation Techniques, Mergers and Acquisitions, Divestitures and Buyouts, Post-Merger Integration, Regulatory Aspects of M&A
23MBF306Risk Management & InsuranceElective (Finance)3Introduction to Risk Management, Risk Identification and Measurement, Risk Management Techniques, Insurance Principles and Types, Reinsurance and Regulatory Framework

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
23MB401Project / DissertationCore (Project)12Research Problem Identification, Literature Review, Methodology and Data Collection, Data Analysis and Interpretation, Report Writing and Presentation
23MBF401Behavioural FinanceElective (Finance)4Cognitive Biases in Decision Making, Heuristics and Prospect Theory, Market Anomalies and Investor Psychology, Behavioral Asset Pricing, Behavioral Corporate Finance
23MBF402FinTech & Digital FinanceElective (Finance)4Digital Payments and Mobile Banking, Blockchain and Cryptocurrencies, Robo-Advisors and AI in Finance, Peer-to-Peer Lending, Financial Data Analytics
23MBF403Financial Modeling & ValuationElective (Finance)4Financial Statement Analysis, Excel for Financial Modeling, Discounted Cash Flow (DCF) Valuation, Relative Valuation Methods, Sensitivity and Scenario Analysis
23MBF404Credit Risk ManagementElective (Finance)4Introduction to Credit Risk, Credit Risk Measurement Models, Credit Scoring and Rating, Loan Portfolio Management, Basel Accords and Regulations
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