
MBA in Finance at SRM Institute of Science and Technology


Chengalpattu, Tamil Nadu
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About the Specialization
What is Finance at SRM Institute of Science and Technology Chengalpattu?
This Finance specialization program at SRM Institute of Science and Technology focuses on equipping students with deep analytical and strategic skills required for the dynamic financial sector. It covers traditional finance principles alongside modern concepts, aligning with the evolving Indian financial industry''''s demand for skilled professionals in investment, banking, and corporate finance. The program integrates theoretical knowledge with practical applications, preparing graduates for diverse roles.
Who Should Apply?
This program is ideal for fresh graduates from commerce, economics, or engineering backgrounds aiming for a career in finance, as well as working professionals looking to pivot into financial roles or enhance their existing finance expertise. Individuals with strong numerical aptitude, analytical thinking, and an interest in financial markets, investment management, or corporate financial planning will find this specialization particularly rewarding.
Why Choose This Course?
Graduates of this program can expect to pursue lucrative career paths in investment banking, portfolio management, financial analysis, wealth management, and corporate finance in leading Indian and multinational firms. Entry-level salaries typically range from INR 4-8 Lakhs annually, with significant growth potential up to INR 15-25 Lakhs for experienced professionals. The curriculum often aligns with certifications like NISM, CFA, and CFP, enhancing employability in the competitive Indian job market.

Student Success Practices
Foundation Stage
Master Core Business Fundamentals- (Semester 1-2)
Dedicate time to thoroughly understand core subjects like Accounting for Management, Business Statistics, and Managerial Economics. Focus on building strong foundational knowledge as these concepts are prerequisites for advanced finance topics. Utilize supplementary textbooks, online tutorials like those on Coursera or edX, and participate in peer study groups to solidify understanding.
Tools & Resources
Textbooks, Coursera, edX, SRMIST Library resources
Career Connection
A strong foundation in these subjects is crucial for interpreting financial statements, performing quantitative analysis, and making informed business decisions, which are essential skills for any finance role and will be frequently tested in interviews.
Enhance Quantitative and Analytical Skills- (Semester 1-2)
Regularly practice problem-solving in Business Statistics and Financial Management. Develop proficiency in Excel for data analysis and basic financial calculations. Attend workshops on financial modeling basics or quantitative methods if offered by the department. Engage in case studies to apply theoretical concepts to real-world business scenarios.
Tools & Resources
Microsoft Excel, Financial Calculators, Case Study repositories
Career Connection
Strong quantitative and analytical skills are non-negotiable for finance professionals. This practice prepares students for roles requiring data interpretation, financial forecasting, and complex problem-solving, giving them an edge in placement processes.
Develop Effective Communication and Presentation- (Semester 1-2)
Actively participate in group discussions, presentations, and mock interviews. Seek feedback on communication style and content. Join toastmasters clubs or similar public speaking platforms to hone articulation skills. Focus on clear, concise, and professional communication essential for business interactions.
Tools & Resources
Toastmasters, Presentation software, Peer feedback sessions
Career Connection
Effective communication is vital for presenting financial reports, interacting with clients, and collaborating within teams. This skill enhances employability and career progression in roles that require client-facing or leadership responsibilities.
Intermediate Stage
Pursue NISM Certifications and Financial Software Proficiency- (Semester 3)
Alongside your curriculum, pursue certifications from the National Institute of Securities Markets (NISM), especially modules relevant to your specialization (e.g., Equity Derivatives, Mutual Funds). Learn to use financial software like Bloomberg Terminal (if available at SRMIST) or equivalent tools for market data analysis and financial research. Participate in investment challenges.
Tools & Resources
NISM study material, Bloomberg Terminal, Eikon Refinitiv, Trading simulation platforms
Career Connection
NISM certifications provide industry-recognized credentials, proving your practical knowledge and enhancing your profile for roles in capital markets, wealth management, and brokerage firms. Software proficiency is a direct skill demanded by employers.
Engage in Live Projects and Internships- (Semester 3)
Actively seek and undertake internships or live projects with financial institutions, banks, or fintech companies. Apply theoretical knowledge to real-world financial problems. Network with industry professionals during these engagements to gain insights and potential mentorship. Document your learnings and contributions meticulously.
Tools & Resources
Internship portals (LinkedIn, Internshala), Company career pages, Faculty network
Career Connection
Practical experience through internships is invaluable for understanding industry dynamics, building a professional network, and showcasing your abilities to potential employers. It significantly boosts your resume for final placements.
Specialized Skill Development in Finance- (Semester 3)
Focus on developing expertise in specific areas of finance that align with your career goals, such as financial modeling, credit analysis, or equity research. Attend specialized workshops, webinars, and online courses on platforms like WallStreetPrep or EduPristine. Practice building financial models from scratch for different scenarios.
Tools & Resources
WallStreetPrep, EduPristine, AnalystPrep, Financial newspapers/magazines
Career Connection
Deep specialization makes you a highly desirable candidate for niche finance roles. These skills are directly applicable in front-office roles in investment banking, asset management, and corporate finance, commanding higher salaries and better growth prospects.
Advanced Stage
Intensive Placement Preparation and Mock Interviews- (Semester 4)
Begin rigorous preparation for placement season, focusing on quantitative aptitude, logical reasoning, and domain-specific questions in finance. Participate in mock interviews conducted by the placement cell or external consultants. Refine your resume and cover letter to highlight finance-specific skills and projects.
Tools & Resources
Placement cell resources, Mock interview platforms, Aptitude test books, Online interview prep guides
Career Connection
Thorough preparation directly impacts placement success, securing roles in top financial firms. This stage ensures you are articulate, confident, and technically sound for high-stakes interviews.
Network Strategically and Attend Industry Events- (Semester 4)
Leverage LinkedIn to connect with alumni and industry leaders. Attend financial conferences, seminars, and networking events (both online and offline) to stay updated on industry trends and expand your professional circle. Engage in meaningful conversations to explore career opportunities and gain mentorship.
Tools & Resources
LinkedIn, Industry conference websites, Alumni network
Career Connection
Networking opens doors to hidden job opportunities, mentorship, and career advice that are crucial for long-term career growth in the finance sector in India. Strong connections can lead to referrals and a competitive edge.
Undertake a Capstone Project or Dissertation- (Semester 4)
Choose a challenging research project or dissertation in a specialized area of finance. This allows for in-depth exploration of a topic, application of advanced analytical techniques, and showcasing research capabilities. Work closely with a faculty mentor and aim for a high-quality output that can be presented to potential employers.
Tools & Resources
SRMIST faculty, Research databases (JSTOR, EBSCO), Statistical software (R, Python, SPSS)
Career Connection
A well-executed capstone project demonstrates your ability to conduct independent research, solve complex problems, and contribute original insights. It''''s a significant talking point in interviews and can differentiate you for research-oriented or analytical roles.
Program Structure and Curriculum
Eligibility:
- A pass in Bachelor''''s degree (10+2+3 or 4 years) in any discipline with minimum 50% marks from a recognized university. A valid score in SRMJEEM/CAT/MAT/XAT/CMAT/GMAT/ATMA/TANCET is required.
Duration: 2 years (4 semesters)
Credits: 94 Credits
Assessment: Internal: 50% (Continuous Assessment), External: 50% (End Semester Examination)
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| BM2101 | Management Concepts and Organizational Behavior | Core | 4 | Management Principles and Functions, Organizational Structure and Design, Individual Behavior in Organizations, Group Dynamics and Teamwork, Motivation and Leadership Theories, Organizational Change and Development |
| BM2102 | Managerial Economics | Core | 4 | Demand and Supply Analysis, Production and Cost Analysis, Market Structures and Pricing Strategies, Macroeconomic Indicators, Business Cycles and Policies, Risk and Uncertainty in Business Decisions |
| BM2103 | Accounting for Management | Core | 4 | Financial Accounting Principles, Preparation of Financial Statements, Cost Accounting Concepts, Budgeting and Variance Analysis, Capital Budgeting Decisions, Working Capital Management |
| BM2104 | Business Statistics | Core | 4 | Data Collection and Presentation, Measures of Central Tendency and Dispersion, Probability Distributions, Hypothesis Testing, Correlation and Regression Analysis, Forecasting Techniques |
| BM2105 | Business Communication | Core | 3 | Principles of Effective Communication, Verbal and Non-verbal Communication, Business Correspondence, Presentation Skills, Intercultural Communication, Report Writing |
| BM2106 | Legal Aspects of Business | Core | 3 | Indian Contract Act, Sale of Goods Act, Negotiable Instruments Act, Companies Act, Consumer Protection Act, Intellectual Property Rights |
| BM2107 | Operations Management | Core | 4 | Production System Design, Capacity and Facility Planning, Inventory Management, Quality Management, Supply Chain Management, Project Management |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| BM2201 | Marketing Management | Core | 4 | Marketing Environment and Strategy, Consumer Behavior, Product and Brand Management, Pricing Strategies, Promotion and Distribution Channels, Digital Marketing |
| BM2202 | Financial Management | Core | 4 | Financial Goals and Functions, Time Value of Money, Capital Budgeting Decisions, Cost of Capital and Leverage, Working Capital Management, Dividend Policy |
| BM2203 | Human Resource Management | Core | 4 | HR Planning and Job Analysis, Recruitment and Selection, Training and Development, Performance Management, Compensation and Benefits, Industrial Relations |
| BM2204 | Research Methods for Management | Core | 4 | Research Design and Process, Data Collection Methods, Sampling Techniques, Data Analysis (Quantitative & Qualitative), Hypothesis Formulation and Testing, Report Writing and Presentation |
| BM2205 | Business Analytics | Core | 3 | Introduction to Business Analytics, Data Visualization, Descriptive Analytics, Predictive Analytics Models, Prescriptive Analytics, Big Data Concepts |
| BM2206 | Entrepreneurship and Innovation | Core | 3 | Entrepreneurial Mindset, Opportunity Identification, Business Plan Development, Funding for Startups, Innovation Strategies, Legal and Ethical Issues for Entrepreneurs |
| BM2207 | Business Ethics and Corporate Governance | Core | 3 | Ethical Theories in Business, Corporate Social Responsibility, Whistleblowing and Ethical Leadership, Corporate Governance Frameworks, Role of Board of Directors, SEBI Guidelines |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| BM2301 | Strategic Management | Core | 4 | Strategic Analysis and Formulation, Environmental Scanning, Industry Analysis, Strategic Choices and Implementation, Corporate Level Strategies, Strategic Control |
| BM2302 | Management Information Systems | Core | 3 | Role of IT in Business, Information Systems Types, Database Management Systems, Enterprise Resource Planning, Decision Support Systems, Cybersecurity and Ethics |
| BM2311 | Security Analysis and Portfolio Management | Elective - Finance | 3 | Investment Environment, Equity Valuation Models, Fixed Income Securities Analysis, Portfolio Theory and Construction, Portfolio Performance Evaluation, Investment Strategies |
| BM2312 | Financial Markets and Institutions | Elective - Finance | 3 | Structure of Indian Financial System, Money Market Instruments, Capital Market Operations, Role of Financial Institutions, Regulatory Bodies (RBI, SEBI), International Financial Markets |
| BM2313 | International Financial Management | Elective - Finance | 3 | Balance of Payments, Foreign Exchange Markets, Exchange Rate Theories, Currency Risk Management, International Capital Budgeting, Multinational Working Capital Management |
| BM2314 | Derivatives and Risk Management | Elective - Finance | 3 | Introduction to Derivatives, Forwards and Futures, Options Pricing Models, Swaps and Other Derivatives, Hedging Strategies, Market and Credit Risk Management |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| BM2401 | Project Work / Internship | Project | 6 | Problem Identification and Formulation, Literature Review, Research Design and Methodology, Data Analysis and Interpretation, Report Writing and Presentation, Industry Exposure and Application |
| BM2411 | Financial Modeling and Valuation | Elective - Finance | 3 | Excel for Financial Analysis, Building Financial Models, Forecasting Financial Statements, Discounted Cash Flow Valuation, Relative Valuation Techniques, Sensitivity Analysis |
| BM2412 | Wealth Management | Elective - Finance | 3 | Financial Planning Process, Investment Avenues (Equity, Debt, Real Estate), Retirement Planning, Estate Planning and Succession, Risk Management and Insurance, Client Relationship Management |
| BM2413 | Mergers and Acquisitions | Elective - Finance | 3 | M&A Strategic Rationale, Valuation for M&A, Deal Structuring and Financing, Due Diligence Process, Regulatory Framework in India, Post-Merger Integration |
| BM2414 | Fintech and Financial Innovation | Elective - Finance | 3 | Evolution of Fintech, Blockchain and Cryptocurrencies, AI and Machine Learning in Finance, Digital Payments and Wallets, Crowdfunding and P2P Lending, Regulatory Sandbox and Challenges |




