

MBA-INTERNATIONAL-BUSINESS-SIIB in Finance at Symbiosis International University (SIU)


Pune, Maharashtra
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About the Specialization
What is Finance at Symbiosis International University (SIU) Pune?
This Finance specialization program at Symbiosis Institute of International Business (SIIB) focuses on equipping students with advanced financial concepts, analytical tools, and strategic insights crucial for global financial markets. It addresses the growing need for finance professionals who understand both domestic and international financial landscapes, with a strong emphasis on practical application within the Indian context and global business operations. The program is designed to create future-ready finance leaders.
Who Should Apply?
This program is ideal for ambitious fresh graduates seeking entry into investment banking, financial analysis, or corporate finance roles in India. It also caters to working professionals aiming to upskill for leadership positions in treasury, risk management, or fintech, as well as career changers transitioning into finance from related fields. Candidates with a strong quantitative aptitude and a keen interest in economic affairs are particularly well-suited.
Why Choose This Course?
Graduates of this program can expect promising career paths in leading Indian and international financial institutions, including roles as financial analysts, investment bankers, risk managers, and portfolio managers. Entry-level salaries typically range from INR 6-12 LPA, with significant growth trajectories for experienced professionals reaching INR 20+ LPA. The curriculum aligns with the knowledge required for professional certifications like CFA, FRM, and NISM, enhancing career prospects.

Student Success Practices
Foundation Stage
Build a Strong Quantitative and Analytical Base- (Semester 1-2)
Dedicate extra time to mastering Business Statistics, Financial Accounting, and Corporate Finance. Utilize online resources like Coursera courses on ''''Financial Markets'''' or ''''Excel for Finance'''' to supplement classroom learning. Focus on understanding concepts deeply and practicing numerical problems rigorously.
Tools & Resources
Excel, Khan Academy Finance, Coursera/edX for introductory finance courses
Career Connection
A solid foundation in quantitative analysis and core finance is non-negotiable for any finance role, enabling you to excel in interviews and complex financial modeling tasks.
Cultivate Financial News Literacy- (Semester 1-2)
Regularly read leading financial newspapers (e.g., Economic Times, Business Standard) and reputable online financial news portals (e.g., Livemint, BloombergQuint). Follow key economic indicators, policy changes by RBI, and major corporate announcements in India and globally. Discuss current events with peers and faculty.
Tools & Resources
Economic Times, Livemint, BloombergQuint, RBI website
Career Connection
Staying updated with market trends and economic policies demonstrates genuine interest and analytical thinking, critical for roles in finance, investment, and business analysis.
Engage in Peer Learning and Study Groups- (Semester 1-2)
Form study groups with classmates to discuss challenging concepts, solve case studies, and prepare for exams. Actively participate in class discussions and seek clarification from professors. Peer teaching reinforces your own understanding and exposes you to different perspectives.
Tools & Resources
Collaborative online platforms like Google Docs, Library study rooms
Career Connection
Develops teamwork, communication, and problem-solving skills, which are highly valued in corporate finance teams and investment banking divisions.
Intermediate Stage
Pursue Industry-Relevant Certifications- (Semester 3-4)
Start preparing for foundational certifications like NISM Equity Derivatives, NISM Mutual Funds, or even consider introductory modules for CFA or FRM. These certifications demonstrate specialized knowledge beyond the curriculum and commitment to the finance profession.
Tools & Resources
NISM study materials, CFA Institute website, FRM GARP website
Career Connection
These certifications significantly boost your resume, providing a competitive edge and signaling readiness for specific finance roles like equity analysis or risk management.
Actively Seek and Leverage Internships- (After Semester 2 (Summer Internship))
Proactively apply for summer internships in core finance areas like investment banking, equity research, risk management, or corporate treasury. Focus on learning practical applications of theoretical knowledge, building a network, and delivering tangible outcomes in your project.
Tools & Resources
LinkedIn, Internshala, College placement cell
Career Connection
Internships are crucial for gaining real-world experience, making industry contacts, and often lead to pre-placement offers, significantly enhancing job prospects.
Participate in Finance Competitions and Workshops- (Semester 3)
Engage in national-level finance competitions, stock market simulations, and case study challenges. Attend workshops on financial modeling, valuation, or specific software (e.g., Bloomberg Terminal, Eikon Refinitiv) to develop practical skills. This provides hands-on experience and builds a portfolio.
Tools & Resources
College finance clubs, National finance competitions, Bloomberg/Refinitiv platforms
Career Connection
Showcases your analytical prowess, quick thinking, and ability to apply concepts under pressure, making you a more attractive candidate for demanding finance roles.
Advanced Stage
Master Financial Modeling and Valuation- (Semester 4)
Acquire advanced proficiency in financial modeling using Excel and build valuation models (DCF, Relative Valuation, Precedent Transactions). Practice building models for different industries and scenarios, including specific Indian companies. This is a core skill for investment banking and equity research.
Tools & Resources
Advanced Excel, Financial modeling courses (online/offline), Company annual reports
Career Connection
Expertise in financial modeling is a primary requirement for roles in equity research, investment banking, corporate finance, and private equity, directly impacting your employability.
Network Extensively and Build Professional Relationships- (Semester 3-4)
Attend industry seminars, webinars, and alumni events. Connect with industry professionals on LinkedIn, seeking informational interviews to understand career paths and gain insights. Leverage your internship contacts and faculty connections to expand your professional network.
Tools & Resources
LinkedIn, Industry conferences, Alumni association events
Career Connection
Networking is paramount for job searching, discovering hidden opportunities, and long-term career growth in the competitive finance industry, both in India and globally.
Develop Strong Communication and Presentation Skills- (Semester 3-4)
Actively participate in group presentations, case study discussions, and mock interviews. Seek feedback on your communication style, clarity, and ability to articulate complex financial concepts simply. Practice presenting your dissertation findings professionally.
Tools & Resources
Toastmasters clubs (if available), Mock interview sessions, Presentation software
Career Connection
Effective communication is crucial for client interactions, team collaboration, and presenting financial reports, distinguishing you as a well-rounded finance professional in any Indian corporate setting.
Program Structure and Curriculum
Eligibility:
- Candidate should be a graduate from any recognised University/Institution of National Importance with a minimum of 50% marks or equivalent grade (45% for Scheduled Caste/Scheduled Tribes). Candidates appearing for final year examinations can also apply, but their admission will be subject to obtaining a minimum of 50% marks (45% for SC/ST) in the qualifying examination. Indian candidates are required to have a valid SNAP score.
Duration: 2 Years / 4 Semesters
Credits: 90 Credits
Assessment: Internal: 50%, External: 50%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| T8106 | Business Statistics | Core | 3 | Data analysis, Probability distributions, Hypothesis testing, Regression analysis, Forecasting techniques |
| T8112 | Financial Accounting | Core | 3 | Accounting principles, Financial statements, Ratio analysis, Cash flow statements, Cost accounting basics |
| T8118 | Managerial Economics | Core | 3 | Demand and supply analysis, Market structures, Pricing strategies, Macroeconomic indicators, Business cycles |
| T8108 | Fundamentals of IT for Managers | Core | 3 | IT infrastructure, Database management, Cloud computing, Business intelligence, Cybersecurity fundamentals |
| T8103 | Organisational Behaviour | Core | 3 | Individual behavior, Group dynamics, Leadership theories, Motivation and engagement, Organizational culture and change |
| T8109 | Marketing Management | Core | 3 | Marketing mix (4 Ps), Consumer behavior, Market segmentation, Product life cycle, Promotion and branding |
| T8107 | Operations Management | Core | 3 | Production planning, Inventory control, Quality management, Supply chain design, Process improvement |
| T8104 | Human Resource Management | Core | 3 | HR planning, Recruitment and selection, Training and development, Performance appraisal, Industrial relations |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| T8105 | Research Methodology | Core | 3 | Research design, Data collection methods, Sampling techniques, Data analysis tools, Report writing and presentation |
| T8111 | Corporate Finance | Core | 3 | Capital budgeting, Working capital management, Cost of capital, Capital structure theories, Dividend policy |
| T8117 | International Business Environment | Core | 3 | Globalization trends, International trade theories, International economic institutions, Political and legal environment, Cultural dimensions |
| T8119 | International Marketing | Core | 3 | Global market entry strategies, International product decisions, Pricing across borders, Global promotion strategies, E-commerce in international marketing |
| T8110 | Strategic Management | Core | 3 | Strategic analysis, Strategy formulation, Competitive strategies, Corporate governance, Strategic control |
| T8113 | Legal Aspects of Business | Core | 3 | Contract law, Company law, Consumer protection, Intellectual property rights, Competition law |
| T8114 | Business Ethics & Corporate Governance | Core | 3 | Ethical theories, Corporate Social Responsibility, Stakeholder management, Board of Directors role, Regulatory frameworks |
| T8115 | Logistics & Supply Chain Management | Core | 3 | Supply chain planning, Transportation management, Warehousing and inventory, Global logistics networks, Supply chain analytics |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| T8116 | International Trade Finance | Core | 3 | Methods of international payment, Trade finance instruments, Export credit agencies, Foreign exchange markets, Risk mitigation in trade |
| T8120 | International Human Resource Management | Core | 3 | Expatriate management, Global staffing strategies, Cross-cultural training, International compensation, Performance management across borders |
| T8121 | International Financial Reporting Standards | Core | 3 | IFRS framework, Presentation of financial statements, Revenue recognition under IFRS, Asset accounting, Consolidated financial statements |
| T8122 | Cross Cultural Management | Core | 3 | Cultural dimensions, Cross-cultural communication, Negotiation styles, Global leadership, Managing diversity in global teams |
| T8123 | Summer Internship (8 Weeks) | Project | 3 | Problem identification, Data collection and analysis, Solution formulation, Report writing, Presentation skills |
| T8201 | Investment Analysis & Portfolio Management | Elective | 3 | Security analysis, Modern Portfolio Theory, Asset allocation, Equity and bond valuation, Performance evaluation |
| T8202 | Financial Derivatives | Elective | 3 | Forwards and futures, Options pricing models, Swaps and their applications, Hedging strategies, Speculation with derivatives |
| T8203 | Commercial Banking Management | Elective | 3 | Banking operations, Credit risk management, Asset-liability management, Regulatory environment (RBI), Digital transformation in banking |
| T8204 | International Tax and Compliance | Elective | 3 | International tax treaties, Transfer pricing, Tax planning strategies, FATCA and CRS compliance, BEPS framework |
| T8205 | Wealth Management | Elective | 3 | Financial planning process, Investment avenues, Retirement planning, Estate planning, Behavioral finance |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| T8124 | Foreign Exchange Management | Core | 3 | Exchange rate determination, Foreign exchange market, Hedging currency risk, International parity conditions, RBI regulations on forex |
| T8125 | International Marketing Research | Core | 3 | Global market data sources, International research design, Cross-cultural survey methods, Data analysis in global context, Market entry studies |
| T8126 | Export Import Management | Core | 3 | Export-Import policy (India), Documentation and procedures, Customs clearance, Shipping and logistics, Payment terms (INCOTERMS) |
| T8127 | International Project Management | Core | 3 | Project lifecycle, Planning and scheduling, Risk management in projects, Global team management, Project execution and control |
| T8128 | Dissertation | Project | 3 | Research problem identification, Literature review, Methodology design, Data analysis and interpretation, Thesis writing and presentation |
| T8206 | Mergers, Acquisitions & Corporate Restructuring | Elective | 3 | M&A strategies, Valuation models, Due diligence process, Regulatory aspects (SEBI, CCI), Post-merger integration |
| T8207 | Financial Risk Management | Elective | 3 | Market risk, Credit risk, Operational risk, Risk measurement (VaR), Basel Accords |
| T8208 | Fixed Income Securities | Elective | 3 | Bond valuation, Yield curves, Interest rate risk, MBS and ABS, Fixed income portfolio strategies |
| T8209 | Infrastructure and Project Finance | Elective | 3 | Project finance models, Risk allocation in projects, Public-private partnerships, Funding sources for infrastructure, Case studies in project finance |
| T8210 | Fintech and Digital Finance | Elective | 3 | Blockchain and cryptocurrencies, AI and machine learning in finance, Digital payments and wallets, Robo-advisors, Regulatory technology (RegTech) |




