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MBA in Finance at S. K. Patel Institute of Management and Computer Studies

S. K. Patel Institute of Management and Computer Studies, Mehsana, is a premier institution established in 1998. Affiliated with Gujarat Technological University, SKPIMCS is recognized for its robust Management and Computer Application programs. The college offers MBA and MCA, fostering academic strength and career readiness.

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Mehsana, Gujarat

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About the Specialization

What is Finance at S. K. Patel Institute of Management and Computer Studies Mehsana?

This Finance specialization program at S. K. Patel Institute of Management and Computer Studies, Ganpat University, focuses on equipping students with robust analytical and decision-making skills in the financial domain. It delves into core concepts of financial markets, investment, risk management, and corporate finance, preparing future professionals for India''''s rapidly evolving financial services industry. The program emphasizes practical application and theoretical depth to meet industry demands.

Who Should Apply?

This program is ideal for fresh graduates from commerce, business, or engineering backgrounds seeking entry into the finance sector, as well as working professionals aiming to enhance their financial acumen or transition into finance roles. It caters to individuals aspiring for careers in investment banking, portfolio management, financial analysis, or wealth management, who possess a keen interest in economic trends and financial instruments.

Why Choose This Course?

Graduates of this program can expect to pursue rewarding career paths in Indian banks, mutual funds, broking firms, and financial consultancies. Entry-level salaries typically range from INR 4-7 lakhs per annum, with significant growth potential for experienced professionals. The curriculum aligns with requirements for certifications like NISM and prepares students for roles in treasury, financial planning, and risk assessment within Indian companies.

Student Success Practices

Foundation Stage

Build Strong Financial Fundamentals- (Semester 1-2)

Focus intensely on core subjects like Accounting for Management, Financial Management, and Quantitative Techniques. Understand concepts deeply rather than memorizing. Form study groups to discuss complex topics and solve problems together regularly, especially financial case studies.

Tools & Resources

Financial accounting textbooks, online tutorials (e.g., Khan Academy), Excel for basic financial calculations, sample financial case studies

Career Connection

A solid foundation is crucial for cracking interviews for entry-level finance roles and excelling in subsequent specialized subjects, providing a competitive edge.

Develop Proficiency in Financial Software- (Semester 1-2)

Actively participate in Computer Applications in Business labs, focusing on advanced Excel functions relevant to finance. Seek out opportunities to learn basic data analysis tools. Practice using financial calculators for time value of money calculations and simple financial modeling.

Tools & Resources

Microsoft Excel, financial calculators, online courses on business analytics basics (e.g., Coursera), data visualization tools

Career Connection

Employers highly value candidates with practical software skills for financial modeling, data analysis, and reporting, which are everyday tasks in finance.

Engage in Business and Financial News Analysis- (Semester 1-2)

Beyond regular coursework, actively seek and participate in discussions on Indian business case studies, especially those related to financial decisions. Analyze annual reports of Indian companies to understand their financial health and strategic moves, staying updated on market trends.

Tools & Resources

IIM Case Study Repository, Harvard Business Review India, company annual reports (e.g., from BSE/NSE websites), financial news portals like Economic Times

Career Connection

Develops critical thinking, problem-solving skills, and a practical understanding of business challenges faced by Indian corporations, essential for strategic finance roles.

Intermediate Stage

Master Investment & Risk Tools- (Semester 3)

Focus heavily on subjects like Investment Analysis, Derivatives, and International Financial Management. Practice real-time market simulations and use financial software (Bloomberg Terminal if available, or equivalent platforms like Moneycontrol Pro) to analyze securities and manage portfolios.

Tools & Resources

Bloomberg Terminal (if accessible), trading simulators, NISM certifications in Equity Derivatives, Investment Adviser, Moneycontrol Pro

Career Connection

Direct preparation for roles in investment banking, portfolio management, treasury, and risk analysis in Indian financial institutions, making you job-ready.

Build a Professional Network- (Semester 3)

Attend webinars, industry conferences, and guest lectures organized by the department. Connect with alumni and industry professionals on platforms like LinkedIn. Participate in inter-college finance competitions or stock market simulations to expand your professional circle.

Tools & Resources

LinkedIn, industry associations (CFA Society India, Financial Planning Standards Board India), college alumni network, Eventbrite for industry events

Career Connection

Networking opens doors to internship and placement opportunities, mentorship, and insights into current industry trends and requirements, boosting career prospects.

Undertake Industry-Aligned Projects- (Semester 3)

Choose electives that allow for practical project work (e.g., financial reporting analysis, M&A case studies). Initiate self-driven projects like analyzing a sector, valuing an Indian company, or building a financial model for a startup, showcasing initiative and skill.

Tools & Resources

Company financial statements, industry reports, financial databases (e.g., ACE Equity, Capitaline), faculty mentors for guidance

Career Connection

Demonstrates proactive learning and application of specialized knowledge, making your profile more attractive to potential employers by showing practical capabilities.

Advanced Stage

Excel in Project Work and Advanced Valuation- (Semester 4)

Dedicate significant effort to the 12-credit Project Work, choosing a topic directly relevant to your career aspirations in finance. Apply advanced concepts from Corporate Valuation and Financial Modeling to solve real-world financial problems and present compelling findings.

Tools & Resources

Academic research databases, industry mentors, advanced Excel for financial modeling, statistical software like R or Python for quantitative analysis

Career Connection

A well-executed project is a powerful resume builder, showcasing your analytical capabilities and problem-solving skills to recruiters in specialized finance domains.

Prepare for Specialized Placements- (Semester 4)

Tailor your resume and interview preparation specifically for finance roles. Practice mock interviews focusing on technical finance questions (e.g., valuation, financial products) and behavioral aspects. Attend placement drives and career fairs actively, networking with recruiters.

Tools & Resources

Placement cell resources, online interview platforms (e.g., PrepInsta, Glassdoor), finance interview guides (e.g., Wall Street Prep), case interview prep materials

Career Connection

Maximizes chances of securing desirable placements in top finance companies and roles, ensuring a strong start to your professional journey.

Continuously Upskill with Fintech & Analytics- (Semester 4 and beyond)

Explore online courses or workshops on financial technology, data analytics in finance, or specific software like Python for finance. Understand how digital transformation is impacting the Indian financial sector and its implications for future roles.

Tools & Resources

Coursera, edX, NPTEL for online courses, Python libraries (Pandas, NumPy for finance), Fintech blogs and industry reports, hackathons focusing on financial innovation

Career Connection

Positions you as a future-ready finance professional, crucial for roles in modern financial services and fintech companies, ensuring long-term career relevance.

Program Structure and Curriculum

Eligibility:

  • Bachelor’s degree with 50% marks from a recognized university.

Duration: 2 years / 4 semesters

Credits: 107 Credits

Assessment: Internal: 50%, External: 50%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
101001Management Principles & PracticesCore3Management Evolution, Planning & Decision Making, Organizing & Staffing, Directing & Controlling, Leadership & Motivation
101002Organizational Behaviour & Human Resources ManagementCore3Individual Behavior, Group Dynamics, Organizational Culture, HR Planning, Performance Management
101003Quantitative Techniques for ManagementCore3Linear Programming, Transportation & Assignment, Decision Theory, Queuing Theory, Simulation
101004Managerial EconomicsCore3Demand Analysis, Production & Cost, Market Structures, Pricing Strategies, Macroeconomic Environment
101005Accounting for ManagementCore3Financial Accounting Principles, Cost Accounting Concepts, Budgeting & Control, Financial Statement Analysis, Marginal Costing
101006Business CommunicationCore3Communication Process, Oral & Written Communication, Business Correspondence, Presentation Skills, Cross-Cultural Communication
101007Marketing ManagementCore3Marketing Concepts, Market Segmentation, Product Life Cycle, Pricing Decisions, Promotion Mix
101008Information Systems for ManagersCore3Information Systems Concepts, Database Management, E-commerce, Decision Support Systems, IT Strategy
101009Business Environment & Legal Aspects of BusinessCore3Economic Environment, Social & Cultural Environment, Political & Legal Environment, Consumer Protection Act, Company Law
101010Computer Applications in BusinessLab2MS Office (Excel, Word, PowerPoint), Data Analysis Tools, Internet Applications, Business Software Basics

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
101011Financial ManagementCore3Financial Goals, Capital Budgeting, Working Capital Management, Cost of Capital, Dividend Policy
101012Operations ResearchCore3Linear Programming, Network Analysis (PERT/CPM), Inventory Management, Game Theory, Simulation
101013Operations ManagementCore3Production Planning, Inventory Control, Quality Management, Supply Chain Management, Lean Operations
101014Research MethodologyCore3Research Design, Data Collection, Sampling Techniques, Data Analysis, Report Writing
101015Human Resource Development & Industrial RelationsCore3HRD Concepts, Training & Development, Career Planning, Industrial Relations, Collective Bargaining
101016Macro Economics & Indian Economic EnvironmentCore3National Income, Inflation, Monetary & Fiscal Policy, Indian Economic Reforms, Global Economic Issues
101017Sales & Distribution ManagementCore3Sales Forecasting, Sales Force Management, Channel Management, Retailing, Logistics
101018Enterprise Resource PlanningCore3ERP Concepts, ERP Modules, Implementation Challenges, Supply Chain Integration, Customer Relationship Management
101019Entrepreneurship DevelopmentCore3Entrepreneurial Process, Business Plan, Startup Funding, Small Business Management, Innovation
101020Summer Internship ProjectProject3Project Formulation, Data Collection, Analysis, Report Writing, Presentation

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
101021Strategic ManagementCore3Strategic Planning, Environmental Analysis, Strategy Formulation, Strategy Implementation, Strategic Control
101022International BusinessCore3Globalization, Theories of International Trade, Foreign Exchange Markets, International Marketing, Cross-Cultural Management
101023Corporate Governance & Business EthicsCore3Governance Framework, Role of Board, Stakeholder Management, Ethical Decision Making, CSR
101024 (F)Indian Financial SystemElective3Financial Markets, Financial Institutions, Money Market, Capital Market, SEBI Regulations
101025 (F)Investment Analysis & Portfolio ManagementElective3Investment Process, Risk & Return, Equity Valuation, Portfolio Theory, Portfolio Performance Evaluation
101026 (F)Derivatives & Risk ManagementElective3Forwards & Futures, Options, Swaps, Hedging Strategies, Value at Risk
101027 (F)International Financial ManagementElective3Exchange Rate Determination, Foreign Exchange Risk, International Capital Budgeting, MNC Finance, Balance of Payments
101028 (F)Financial Reporting & AnalysisElective3Financial Statements, Ratio Analysis, Cash Flow Analysis, Earnings Management, IFRS
101029 (F)Mergers, Acquisitions & Corporate RestructuringElective3M&A Motives, Valuation, Due Diligence, LBOs, Divestitures

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
101030Corporate Valuation & Financial ModelingCore3Valuation Techniques, Discounted Cash Flow (DCF), Relative Valuation, Excel Modeling, Sensitivity Analysis
101031Project WorkProject12Research Design, Data Collection, Analysis & Interpretation, Project Report, Viva-Voce
101032 (F)Wealth Management & Financial PlanningElective3Financial Planning Process, Investment Products, Retirement Planning, Estate Planning, Insurance
101033 (F)Financial Technology & AnalyticsElective3Fintech Ecosystem, Blockchain, AI in Finance, Big Data Analytics, Robo-Advisors
101034 (F)Infrastructure & Project FinanceElective3Project Cycle, Risk Analysis, Funding Sources, PPP Models, Project Appraisal
101035 (F)Behavioral FinanceElective3Cognitive Biases, Heuristics, Market Anomalies, Investor Psychology, Behavioral Portfolio Theory
101036 (F)Advanced Corporate FinanceElective3Capital Structure Theories, Agency Theory, Real Options, Advanced Valuation, Corporate Governance
101037 (F)Fixed Income SecuritiesElective3Bond Valuation, Yield Curves, Duration & Convexity, Interest Rate Risk, Securitization
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