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MBA in Financial Services at SRM Institute of Science and Technology (Deemed to be University)

SRM Institute of Science and Technology, a premier deemed to be university established in 1985 in Chennai, stands as a beacon of academic excellence. Offering over 100 diverse programs, it boasts a vibrant 250-acre campus, over 51,900 students, and strong placement records, securing its position among India's leading institutions.

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Chengalpattu, Tamil Nadu

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About the Specialization

What is Financial Services at SRM Institute of Science and Technology (Deemed to be University) Chengalpattu?

This Banking & Financial Services specialization program at Sri Ramaswamy Memorial Institute of Science and Technology focuses on equipping students with deep insights into financial markets, instruments, and management techniques. It integrates traditional banking principles with modern financial technology (FinTech) trends, reflecting the dynamic Indian financial landscape. The program emphasizes analytical skills crucial for navigating complex financial ecosystems and regulatory environments.

Who Should Apply?

This program is ideal for fresh graduates aspiring to enter India''''s thriving banking and finance sectors, including public and private banks, investment firms, and FinTech startups. It also caters to working professionals seeking to upskill in areas like wealth management, risk management, or financial modeling, and career changers transitioning into specialized financial roles, requiring a foundational business degree.

Why Choose This Course?

Graduates of this program can expect diverse career paths in India, such as investment bankers, financial analysts, portfolio managers, credit managers, and FinTech specialists. Entry-level salaries typically range from INR 4-7 LPA, with experienced professionals earning significantly more. The curriculum aligns with requirements for certifications like NISM and FRM, enhancing growth trajectories in major Indian companies and multinational corporations.

Student Success Practices

Foundation Stage

Master Core Business Fundamentals- (Semester 1-2)

Focus intensely on understanding foundational subjects like Accounting for Managers, Financial Management, and Business Statistics. Utilize online resources like Coursera courses on finance basics and practice problem-solving regularly. Collaborate with peers to discuss concepts and solve case studies, building a strong academic base for advanced financial topics.

Tools & Resources

Coursera (Finance for Non-Finance Professionals), Khan Academy (Accounting, Statistics), Peer Study Groups

Career Connection

A strong grasp of fundamentals is crucial for passing competitive entrance exams for financial roles and excelling in initial interviews for analyst positions in India.

Develop Advanced Spreadsheet Proficiency- (Semester 1-2)

Beyond the basic lab, dedicate extra time to mastering Excel for financial modeling, data analysis, and visualization. Complete advanced Excel certifications and participate in online challenges to build speed and accuracy. This skill is universally demanded across all financial roles.

Tools & Resources

Microsoft Excel Certification, EduPristine (Financial Modeling using Excel), Online data sets for practice

Career Connection

Exceptional Excel skills are a non-negotiable requirement for financial analyst, investment banking, and portfolio management roles, directly impacting job prospects and performance.

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

Cultivate a daily habit of reading Indian financial newspapers like The Economic Times, Business Standard, and Mint, and following reputable financial news channels. Participate in mock stock trading games and economic forums to understand market dynamics and current affairs, crucial for financial awareness.

Tools & Resources

The Economic Times, Business Standard, Moneycontrol.com, StockGro (mock trading app)

Career Connection

Staying updated on market trends and economic news is vital for finance interviews and demonstrates a genuine interest in the industry, enhancing credibility with potential employers.

Intermediate Stage

Pursue Industry-Relevant Certifications- (Semester 3)

Identify and begin pursuing professional certifications like NISM (National Institute of Securities Markets) modules (e.g., Equity Derivatives, Mutual Funds), CFA Level I, or Financial Risk Manager (FRM) Part I. These certifications provide specialized knowledge and a competitive edge in the Indian job market.

Tools & Resources

NISM study materials, Kaplan Schweser (CFA/FRM prep), Official certification body websites

Career Connection

These certifications are highly valued by Indian financial institutions and often a prerequisite for specialized roles in investment banking, portfolio management, and risk management.

Undertake Practical Industry Internships- (Semester 3 (Summer Internship))

Actively seek and complete impactful summer and winter internships at banks, asset management companies, brokerage firms, or FinTech startups in India. Focus on gaining hands-on experience in financial analysis, market research, or risk assessment. Network with industry professionals during your internship.

Tools & Resources

SRMIST Placement Cell, LinkedIn, Internshala, Company career pages

Career Connection

Internships are critical for practical exposure, building a professional network, and often lead to pre-placement offers (PPOs) from reputable Indian financial firms.

Participate in Financial Competitions and Case Studies- (Semester 3-4)

Engage in national-level finance competitions, hackathons focusing on FinTech, and inter-collegiate case study challenges. This provides a platform to apply theoretical knowledge, develop problem-solving skills, and gain recognition. Seek mentorship from faculty for preparation.

Tools & Resources

E-Cell SRMIST, Dare2Compete.com, National Stock Exchange (NSE) competitions

Career Connection

Success in such competitions showcases analytical abilities and teamwork, impressing recruiters and enhancing your resume for top-tier financial sector placements.

Advanced Stage

Specialize through Advanced Project Work- (Semester 4)

Choose a final project/dissertation topic that aligns deeply with your chosen sub-specialization within Financial Services (e.g., FinTech, wealth management, risk management). Conduct rigorous research, utilize statistical tools like R or Python, and develop a robust financial model or analytical framework. Aim for a publication or a comprehensive industry report.

Tools & Resources

R/Python for statistical analysis, Bloomberg Terminal/Refinitiv Eikon (if available), Academic databases

Career Connection

A high-quality, specialized project demonstrates expertise and research capabilities, making you a strong candidate for advanced roles and potential research opportunities.

Build a Professional Network and Personal Brand- (Semester 4)

Actively attend industry conferences, webinars, and alumni networking events organized by SRMIST and external bodies. Cultivate a strong LinkedIn profile showcasing your skills, projects, and certifications. Seek informational interviews with professionals in your target financial roles.

Tools & Resources

LinkedIn, Professional finance bodies in India (e.g., FMPCCI), SRMIST Alumni Network

Career Connection

Networking is crucial for uncovering hidden job opportunities, mentorship, and building a professional reputation that can accelerate your career growth in the competitive Indian finance industry.

Intensive Placement Preparation- (Semester 4)

Undergo rigorous training for campus placements, focusing on aptitude tests, quantitative finance interviews, HR rounds, and group discussions. Practice mock interviews with faculty and alumni. Tailor your resume and cover letter for specific financial roles and companies. Focus on presenting your internships and project work effectively.

Tools & Resources

SRMIST Career Development Centre, Online aptitude platforms (e.g., Indiabix), Mock interview sessions, Company-specific interview guides

Career Connection

Dedicated placement preparation is essential for securing desirable roles in top Indian and multinational financial firms, translating academic success into a rewarding career.

Program Structure and Curriculum

Eligibility:

  • Bachelor''''s degree with a minimum of 50% aggregate marks. Valid score in CAT/MAT/XAT/NMAT/CMAT/SRMJEEM (MBA) or equivalent entrance examination.

Duration: 2 years (4 semesters)

Credits: 90 Credits

Assessment: Internal: 50%, External: 50%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
21BAA101TManagement Principles and Organizational BehaviourCore3Introduction to Management, Planning & Decision Making, Organizing & Staffing, Leading & Controlling, Organizational Behaviour Fundamentals, Motivation & Leadership
21BAA102TManagerial EconomicsCore3Introduction to Managerial Economics, Demand Analysis and Forecasting, Production and Cost Analysis, Market Structures and Pricing Decisions, Profit Management and Capital Budgeting
21BAA103TAccounting for ManagersCore3Introduction to Financial Accounting, Preparation of Financial Statements, Cost Accounting Concepts, Budgeting and Variance Analysis, Financial Statement Analysis
21BAA104TBusiness Statistics and AnalyticsCore3Introduction to Business Statistics, Probability and Probability Distributions, Sampling and Hypothesis Testing, Correlation and Regression Analysis, Introduction to Business Analytics
21BAA105TMarketing ManagementCore3Introduction to Marketing, Consumer and Business Markets, Product and Pricing Decisions, Promotion and Distribution Decisions, Marketing Channels and Supply Chain Management
21BAA106TLegal Aspects of BusinessCore3Indian Contract Act, Sale of Goods Act, Negotiable Instruments Act, Companies Act, Consumer Protection Act, Intellectual Property Rights
21BAA107PManagerial Communication LabLab1Verbal & Non-Verbal Communication, Presentation Skills, Business Report Writing, Interview Skills, Group Discussion Techniques

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
21BAA201TOperations ManagementCore3Introduction to Operations Management, Operations Strategy, Process Design and Analysis, Quality Management, Inventory Management, Supply Chain Management
21BAA202TFinancial ManagementCore3Introduction to Financial Management, Time Value of Money, Capital Budgeting, Capital Structure, Working Capital Management, Dividend Decisions
21BAA203THuman Resource ManagementCore3Introduction to HRM, HR Planning and Recruitment, Training and Development, Performance Management, Compensation and Benefits, Industrial Relations
21BAA204TResearch Methods for BusinessCore3Introduction to Business Research, Research Design, Sampling Techniques, Data Collection Methods, Data Analysis and Interpretation, Report Writing
21BAA205TBusiness Ethics and Corporate Social ResponsibilityCore3Ethical Theories in Business, Corporate Governance, CSR Concepts and Models, Stakeholder Management, Ethical Decision Making, Sustainability and Business
21BAA206TEntrepreneurship DevelopmentCore3Concepts of Entrepreneurship, Opportunity Identification, Business Plan Development, Sources of Funding, Legal and Regulatory Framework, Challenges for Entrepreneurs
21BAA207PSpreadsheet for Business Analytics LabLab1Basic Excel Functions, Data Manipulation & Visualization, Statistical Analysis using Excel, Solver & Goal Seek, Financial Modeling in Excel

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
21BAA301TStrategic ManagementCore3Introduction to Strategic Management, Environmental Analysis, Strategy Formulation, Strategy Implementation, Strategic Control, Corporate Governance and Ethics
21BAA302TBusiness Analytics for Decision MakingCore3Introduction to Business Analytics, Descriptive Analytics, Predictive Analytics Techniques, Prescriptive Analytics, Data Visualization, Analytics in Functional Areas
21BAA303TInternational Business EnvironmentCore3Globalization and International Business, International Trade Theories, Foreign Direct Investment, International Monetary System, Cultural and Political Environment, Regional Economic Integration
21BAA304TSupply Chain and Logistics ManagementCore3Introduction to SCM, Logistics Management, Inventory Management in SCM, Transportation and Warehousing, Supply Chain Relationships, Global Supply Chains
21BAA305PSummer InternshipProject6Project Identification, Data Collection & Analysis, Problem Solving, Report Writing, Presentation Skills, Industry Exposure
21BAF301TInternational Financial ManagementElective3Overview of International Finance, Foreign Exchange Market, Currency Risk Management, International Investment Decisions, Multinational Capital Budgeting, International Working Capital Management
21BAF302TSecurity Analysis and Portfolio ManagementElective3Investment Environment, Equity & Debt Valuation, Technical & Fundamental Analysis, Portfolio Theory & Diversification, Portfolio Performance Evaluation, Derivatives & Alternative Investments
21BAF303TFinancial DerivativesElective3Introduction to Derivatives, Forward and Futures Contracts, Options: Types and Valuation, Swaps, Derivatives Strategies, Risk Management using Derivatives
21BAF304TStrategic Financial ManagementElective3Strategic Role of Finance, Capital Structure Decisions, Dividend Policy Decisions, Working Capital Strategy, Mergers & Acquisitions, Corporate Restructuring
21BAF305TCorporate Valuation & RestructuringElective3Valuation Approaches, Discounted Cash Flow Models, Relative Valuation, Mergers & Acquisitions, Divestitures and Spin-offs, Leveraged Buyouts
21BAF306TWealth ManagementElective3Introduction to Wealth Management, Financial Planning Process, Investment Products, Retirement Planning, Estate Planning, Tax Planning
21BAF307TFinancial ModellingElective3Introduction to Financial Models, Excel for Financial Modeling, Financial Statement Modeling, Valuation Models, Budgeting and Forecasting Models, Sensitivity Analysis
21BAF308TTreasury ManagementElective3Introduction to Treasury Management, Cash Management, Liquidity Management, Working Capital Financing, Foreign Exchange Risk Management, Fund Management
21BAF309TRisk Management in BanksElective3Introduction to Banking Risk, Credit Risk Management, Market Risk Management, Operational Risk Management, Basel Accords, Stress Testing
21BAF310TCommercial BankingElective3Commercial Banking Structure, Deposit Products, Lending Products, Retail Banking, Wholesale Banking, Bank Regulations
21BAF311TFinancial Technology (FinTech)Elective3Introduction to FinTech, Digital Payments and Wallets, Blockchain and Cryptocurrencies, AI and Machine Learning in Finance, Robo-Advisors, Regulatory Technology (RegTech)
21BAF312TInvestment BankingElective3Overview of Investment Banking, Mergers & Acquisitions, Initial Public Offerings (IPOs), Debt Capital Markets, Equity Capital Markets, Project Finance

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
21BAA401TInnovation, Technology and Operations StrategyCore3Innovation Management, Technology Strategy, Operations Strategy, Process Innovation, Digital Transformation, Sustainable Operations
21BAA402TBusiness Law and EthicsCore3Corporate Law, Labour Laws, Environmental Laws, Cyber Laws, Ethical Dilemmas in Business, Corporate Social Responsibility
21BAA403PFinal Project/DissertationProject8Research Proposal Development, Extensive Literature Review, Methodology & Data Analysis, Findings & Discussion, Conclusion & Recommendations, Thesis Writing & Viva-Voce
21BAF301TInternational Financial ManagementElective3Overview of International Finance, Foreign Exchange Market, Currency Risk Management, International Investment Decisions, Multinational Capital Budgeting, International Working Capital Management
21BAF302TSecurity Analysis and Portfolio ManagementElective3Investment Environment, Equity & Debt Valuation, Technical & Fundamental Analysis, Portfolio Theory & Diversification, Portfolio Performance Evaluation, Derivatives & Alternative Investments
21BAF303TFinancial DerivativesElective3Introduction to Derivatives, Forward and Futures Contracts, Options: Types and Valuation, Swaps, Derivatives Strategies, Risk Management using Derivatives
21BAF304TStrategic Financial ManagementElective3Strategic Role of Finance, Capital Structure Decisions, Dividend Policy Decisions, Working Capital Strategy, Mergers & Acquisitions, Corporate Restructuring
21BAF305TCorporate Valuation & RestructuringElective3Valuation Approaches, Discounted Cash Flow Models, Relative Valuation, Mergers & Acquisitions, Divestitures and Spin-offs, Leveraged Buyouts
21BAF306TWealth ManagementElective3Introduction to Wealth Management, Financial Planning Process, Investment Products, Retirement Planning, Estate Planning, Tax Planning
21BAF307TFinancial ModellingElective3Introduction to Financial Models, Excel for Financial Modeling, Financial Statement Modeling, Valuation Models, Budgeting and Forecasting Models, Sensitivity Analysis
21BAF308TTreasury ManagementElective3Introduction to Treasury Management, Cash Management, Liquidity Management, Working Capital Financing, Foreign Exchange Risk Management, Fund Management
21BAF309TRisk Management in BanksElective3Introduction to Banking Risk, Credit Risk Management, Market Risk Management, Operational Risk Management, Basel Accords, Stress Testing
21BAF310TCommercial BankingElective3Commercial Banking Structure, Deposit Products, Lending Products, Retail Banking, Wholesale Banking, Bank Regulations
21BAF311TFinancial Technology (FinTech)Elective3Introduction to FinTech, Digital Payments and Wallets, Blockchain and Cryptocurrencies, AI and Machine Learning in Finance, Robo-Advisors, Regulatory Technology (RegTech)
21BAF312TInvestment BankingElective3Overview of Investment Banking, Mergers & Acquisitions, Initial Public Offerings (IPOs), Debt Capital Markets, Equity Capital Markets, Project Finance
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