

M-B-A in Finance at Soundarya Institute of Management & Science


Bengaluru, Karnataka
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About the Specialization
What is Finance at Soundarya Institute of Management & Science Bengaluru?
This Finance specialization program at Soundarya Institute of Management & Science focuses on equipping students with deep analytical and strategic financial skills relevant to the dynamic Indian economy. It covers areas from corporate finance to investment analysis and risk management, preparing graduates for key roles in the financial sector. The program emphasizes practical application and industry-aligned learning for contemporary financial challenges.
Who Should Apply?
This program is ideal for fresh graduates seeking entry into financial analysis, wealth management, or corporate finance roles in India. It also suits working professionals aiming to upskill in specialized financial domains or career changers transitioning into the lucrative financial services industry. Candidates with a strong quantitative aptitude and an interest in financial markets are particularly well-suited.
Why Choose This Course?
Graduates of this program can expect diverse career paths such as Financial Analyst, Portfolio Manager, Investment Banker, or Risk Manager in leading Indian and multinational firms. Entry-level salaries typically range from INR 4-7 LPA, with experienced professionals earning INR 10-25+ LPA. The program aligns with certifications like CFA and NISM, fostering growth trajectories in India''''s booming financial services sector.

Student Success Practices
Foundation Stage
Master Core Financial Accounting & Quant Skills- (Semester 1)
Dedicate significant time to understanding financial accounting principles and quantitative techniques. These form the bedrock of all finance studies. Practice problem-solving daily and leverage online tutorials to clarify concepts.
Tools & Resources
Khan Academy for accounting basics, NPTEL lectures on quantitative methods, Excel for basic data analysis, Peer study groups
Career Connection
A strong foundation in these areas is crucial for subsequent finance subjects and essential for roles in financial analysis and corporate reporting.
Develop Strong Business Communication- (Semester 1)
Actively participate in group discussions, presentations, and case study analyses. Focus on structuring arguments logically and articulating ideas clearly, both orally and in writing. Seek feedback on your communication style.
Tools & Resources
Toastmasters International (if available locally), Business Communication textbooks, Grammarly for written accuracy, Mock presentation sessions
Career Connection
Effective communication is vital for client interaction, team collaboration, and conveying complex financial information to non-finance stakeholders.
Network with Alumni and Industry Professionals- (Semester 1)
Attend industry webinars, guest lectures, and alumni meets organized by the institute. Initiate conversations, ask insightful questions, and seek mentorship. Build a professional network early on.
Tools & Resources
LinkedIn, Institute''''s alumni network portal, Industry association events (e.g., FICCI, CII)
Career Connection
Early networking can open doors to internships, mentorship opportunities, and provide valuable insights into industry trends and career paths.
Intermediate Stage
Pursue Financial Certifications (NISM)- (Semester 2 - 3)
Alongside your regular studies, pursue relevant NISM certifications (e.g., Equity Derivatives, Mutual Fund Distributors). These provide practical, industry-recognized knowledge and demonstrate initiative to potential employers.
Tools & Resources
NISM study materials, Online practice tests, NISM official website
Career Connection
NISM certifications are highly valued in the Indian financial market, enhancing your resume for roles in brokerage, wealth management, and mutual funds.
Engage in Financial Market Simulations & Case Studies- (Semester 2 - 3)
Participate in virtual stock market games, financial modeling competitions, and in-depth case study analyses. Apply theoretical knowledge to real-world scenarios to hone your decision-making and analytical skills.
Tools & Resources
Moneybhai by Moneycontrol, StockGro (virtual trading app), Harvard Business Review case studies, Excel for financial modeling
Career Connection
Practical application through simulations prepares you for the complexities of financial markets and impresses recruiters with your hands-on experience.
Undertake a Quality Summer Internship- (After Semester 2 (Summer break))
Actively seek and complete a summer internship in a financial firm (bank, NBFC, asset management, fintech). Focus on gaining exposure to core finance functions, building practical skills, and performing well to secure a PPO (Pre-Placement Offer).
Tools & Resources
Institute''''s placement cell, Internshala, Naukri.com for internships, Company career pages
Career Connection
An internship is critical for practical experience, industry networking, and often leads directly to full-time employment opportunities upon graduation.
Advanced Stage
Specialize and Build a Portfolio- (Semester 3 - 4)
Deep dive into your chosen finance specialization (e.g., Equity Research, Wealth Management). Create a portfolio of personal projects, financial models, or research papers demonstrating your expertise in these niche areas.
Tools & Resources
Bloomberg Terminal (if accessible), Equity research reports, Advanced Excel/VBA, Python for financial analytics
Career Connection
A specialized portfolio showcases your passion and skill, making you a stronger candidate for targeted roles and advanced positions.
Master Advanced Financial Software & Tools- (Semester 3 - 4)
Gain proficiency in industry-standard tools like advanced Excel, financial modeling software, statistical packages (R/Python for finance), and possibly Bloomberg Terminal. These are non-negotiable skills for top finance roles.
Tools & Resources
Coursera/edX courses on financial modeling, Wall Street Prep, Python libraries (Pandas, NumPy, Matplotlib), Bloomberg/Refinitiv tutorials
Career Connection
Proficiency in these tools significantly boosts your employability and allows you to immediately contribute value in a professional finance setting.
Intensive Placement Preparation & Mock Interviews- (Semester 4)
Engage in rigorous placement preparation, focusing on quantitative aptitude, logical reasoning, and domain-specific technical questions. Participate in mock interviews with faculty, alumni, and external consultants to refine your interview skills and confidence.
Tools & Resources
Placement preparation books, Online aptitude test platforms, Interview experience forums, Institute''''s career services
Career Connection
Thorough preparation is paramount for converting placement opportunities into job offers in competitive finance roles.
Program Structure and Curriculum
Eligibility:
- A Bachelor''''s Degree (10+2+3 or 10+2+4 pattern) from any recognized University with a minimum of 50% aggregate marks (45% for SC/ST/Category-I candidates of Karnataka). Must have a valid score in PGCET/CMAT/KMAT/MAT/XAT/ATMA or any equivalent qualifying examination.
Duration: 2 years (4 semesters)
Credits: 100 Credits
Assessment: Internal: 30%, External: 70%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 21MBA101 | Indian Economy and Policy for Business | Core | 4 | Structure of Indian Economy, Economic Reforms and Policy Changes, Sectoral Performance, Fiscal and Monetary Policy, International Trade and Balance of Payments |
| 21MBA102 | Organisational Behaviour and Human Resource Management | Core | 4 | Foundations of OB, Perception and Learning, Motivation and Leadership, Group Dynamics and Team Building, HRM Functions and Policies |
| 21MBA103 | Accounting for Business Decisions | Core | 4 | Financial Accounting Principles, Recording Business Transactions, Financial Statement Analysis, Cost Accounting Concepts, Budgeting and Variance Analysis |
| 21MBA104 | Quantitative Techniques for Business Decisions | Core | 4 | Probability and Distributions, Hypothesis Testing, Correlation and Regression Analysis, Linear Programming, Decision Theory and Simulation |
| 21MBA105 | Marketing Management | Core | 4 | Marketing Environment, Consumer Behaviour, Product and Pricing Strategies, Promotion and Distribution Channels, Marketing Research and Analytics |
| 21MBA106 | Business Communication and Research Methods | Core | 4 | Principles of Communication, Written and Oral Communication, Report Writing, Research Design and Data Collection, Data Analysis and Interpretation |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 21MBA201 | Operations Management | Core | 4 | Introduction to Operations Management, Product and Process Design, Capacity and Facility Planning, Inventory Management, Supply Chain Management |
| 21MBA202 | Financial Management | Core | 4 | Time Value of Money, Capital Budgeting Decisions, Cost of Capital, Working Capital Management, Leverage and Capital Structure |
| 21MBA203 | Management Information Systems | Core | 4 | Role of IS in Business, Database Management, E-commerce and ERP Systems, Decision Support Systems, IT Strategy and Security |
| 21MBA204 | Business Analytics and Research | Core | 4 | Foundations of Business Analytics, Descriptive Analytics, Predictive Analytics Models, Prescriptive Analytics, Big Data and Data Visualization |
| 21MBA205 | Entrepreneurship and Ethics in Business | Core | 4 | Entrepreneurial Process, Business Plan Development, Funding for Startups, Ethical Frameworks, Corporate Social Responsibility |
| 21MBA206 | Soft Skills for Business | Core | 4 | Communication Skills, Interpersonal Skills, Leadership and Teamwork, Presentation Skills, Negotiation and Conflict Resolution |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 21MBA301 | Strategic Management | Core | 4 | Concepts of Strategy, Strategic Analysis, Strategy Formulation, Strategy Implementation, Strategic Control |
| 21MBA302FM | Elective - Financial Derivatives | Elective | 4 | Introduction to Derivatives, Futures Contracts, Options Trading Strategies, Swaps and Other Derivatives, Risk Management with Derivatives |
| 21MBA303FM | Elective - Investment Analysis and Portfolio Management | Elective | 4 | Investment Environment, Security Analysis, Portfolio Theory, Equity and Debt Valuation, Portfolio Performance Evaluation |
| 21MBA304FM | Elective - Merchant Banking and Financial Services | Elective | 4 | Indian Financial System, Merchant Banking Activities, Leasing and Hire Purchase, Venture Capital and Factoring, Mutual Funds and Insurance |
| 21MBA305FM | Elective - International Financial Management | Elective | 4 | Foreign Exchange Markets, International Parity Relationships, Currency Risk Management, International Capital Budgeting, Multinational Working Capital Management |
| 21MBA306 | Project Work (Internship) | Project | 2 | Problem Identification, Literature Review, Methodology Design, Data Collection and Analysis, Report Writing and Presentation |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 21MBA401 | Business Law and Corporate Governance | Core | 4 | Contract Act, Company Law, SEBI Regulations, Consumer Protection Act, Corporate Governance Principles |
| 21MBA402FM | Elective - Advanced Financial Management | Elective | 4 | Financial Forecasting, Dividend Policy, Mergers and Acquisitions, Corporate Restructuring, Advanced Capital Budgeting |
| 21MBA403FM | Elective - Risk Management and Insurance | Elective | 4 | Introduction to Risk Management, Types of Risks, Risk Measurement and Control, Insurance Principles, Life and Non-Life Insurance Products |
| 21MBA404FM | Elective - Behavioral Finance | Elective | 4 | Rationality in Finance, Cognitive Biases, Emotional Biases, Herd Behavior and Market Anomalies, Applications in Investment Decisions |
| 21MBA405FM | Elective - Financial Modelling and Valuation | Elective | 4 | Financial Statement Modeling, Discounted Cash Flow (DCF), Relative Valuation, Sensitivity Analysis, Merger Model |
| 21MBA406 | Comprehensive Viva-Voce | Viva | 2 | Overall Business Acumen, Specialization Knowledge, Current Business Affairs, Analytical Skills, Communication Skills |




