

MBA-MASTER-OF-BUSINESS-ADMINISTRATION-SIBM-PUNE 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 program at SIBM Pune focuses on equipping students with deep analytical and strategic skills essential for navigating the complex global financial landscape. In the vibrant Indian economy, a robust financial sector is critical, making this specialization highly relevant for roles in banking, investment, and corporate finance. The program integrates theoretical foundations with practical applications, emphasizing industry-relevant tools and contemporary financial practices.
Who Should Apply?
This program is ideal for ambitious individuals aiming for leadership roles within the financial domain. it attracts fresh graduates with a strong quantitative aptitude seeking entry into investment banking, equity research, or treasury functions. Mid-career professionals looking to upskill in areas like financial risk management or corporate finance, and career changers transitioning into the financial services industry, will also find this curriculum highly beneficial, provided they meet the foundational academic requirements.
Why Choose This Course?
Graduates of this program can expect diverse and rewarding career paths in India, including roles such as financial analysts, investment bankers, portfolio managers, credit analysts, and risk managers. Entry-level salaries typically range from INR 8-15 LPA, with experienced professionals commanding significantly higher packages. The program prepares students for certifications like CFA and FRM, fostering growth trajectories within leading Indian and multinational financial institutions operating in India.

Student Success Practices
Foundation Stage
Build a Strong Financial Foundation- (Semester 1-2)
Focus meticulously on core subjects like Financial Accounting, Financial Management, and Business Statistics. Understand the fundamental principles thoroughly, as these form the bedrock for advanced finance concepts. Participate actively in conceptual discussions and solve case studies to solidify understanding.
Tools & Resources
Textbooks, Online tutorials (e.g., NPTEL, Coursera for foundational finance), SIBM Pune''''s library resources, Peer study groups
Career Connection
A strong grasp of fundamentals is crucial for passing initial screening tests for finance roles and for building credible financial models later.
Develop Analytical and Quantitative Skills- (Semester 1-2)
Excel in courses like Business Statistics and Spreadsheet Modeling. Learn to use Excel proficiently for data analysis, financial calculations, and basic modeling. Actively seek out quantitative problems and practice logical reasoning to enhance problem-solving capabilities.
Tools & Resources
Microsoft Excel (Solver, Data Analysis ToolPak), R/Python basics (optional but beneficial), Online platforms like EduPristine for financial modeling
Career Connection
Analytical skills are paramount for financial analysis, risk assessment, and decision-making roles in finance, directly impacting employability.
Cultivate Professional Communication- (Semester 1-2)
Utilize the Business Communication Skills course to refine written and oral communication. Practice presenting financial concepts clearly and concisely. Engage in group projects and mock presentations to build confidence and articulate complex ideas effectively to diverse audiences.
Tools & Resources
Toastmasters International (if available), SIBM Pune''''s communication labs, Harvard Business Review articles for clear business writing
Career Connection
Effective communication is vital for presenting financial reports, interacting with clients, and succeeding in interviews for finance roles.
Intermediate Stage
Dive Deep into Finance Electives & Certifications- (Semester 3-4 (throughout))
Strategically choose Finance electives that align with your career interests (e.g., Investment Management, Financial Risk Management, Corporate Restructuring). Simultaneously, start preparing for entry-level professional certifications like NISM (National Institute of Securities Markets) modules or CFA Level I, which provide an industry-recognized edge.
Tools & Resources
NISM study materials, CFA Institute curriculum, Kaplan Schweser notes, SIBM Pune faculty mentors
Career Connection
Specialized knowledge and certifications are key differentiators for specific finance roles and significantly boost placement prospects.
Engage in Industry Internships & Live Projects- (Summer break after Sem 2, and Semester 3-4)
Actively pursue summer internships and live projects with financial institutions, banks, or corporate finance departments. Seek out opportunities that provide exposure to real-world financial challenges, data analysis, and report generation. Leverage SIBM Pune''''s career services for internship leads.
Tools & Resources
SIBM Pune Placement Cell, LinkedIn, Industry contacts, Financial news platforms (e.g., Economic Times, Livemint)
Career Connection
Practical experience is invaluable for understanding industry dynamics, applying classroom knowledge, and building a professional network crucial for placements.
Network and Participate in Finance Competitions- (Semester 3-4 (ongoing))
Attend finance industry seminars, webinars, and guest lectures organized by SIBM Pune or external bodies. Actively network with alumni and industry professionals. Participate in inter-college finance competitions, stock market simulations, and case study challenges to apply learning and gain practical exposure.
Tools & Resources
LinkedIn, SIBM Pune alumni network, Finance clubs, D-Street (stock market simulations)
Career Connection
Networking opens doors to mentorship, job opportunities, and insights into industry trends, while competitions enhance problem-solving and presentation skills.
Advanced Stage
Refine Financial Modeling and Valuation Skills- (Semester 3-4)
Master advanced financial modeling techniques, including DCF, LBO, and M&A modeling, typically covered in electives like Financial Modeling and Valuation & Securities Analysis. Practice building comprehensive models for various scenarios, focusing on accuracy, sensitivity analysis, and robust assumptions.
Tools & Resources
Bloomberg Terminal (if available at SIBM Pune), Capital IQ, Advanced Excel, Financial modeling courses (e.g., Wall Street Prep)
Career Connection
High proficiency in financial modeling is a critical skill for roles in investment banking, private equity, equity research, and corporate finance, directly impacting placement success.
Strategic Placement Preparation & Interview Skills- (Semester 3-4 (especially Semester 4))
Begin rigorous placement preparation well in advance, focusing on company-specific knowledge, behavioral questions, and technical finance concepts. Participate in mock interviews, aptitude tests, and group discussions facilitated by the placement cell. Tailor your resume and cover letter for specific finance roles.
Tools & Resources
SIBM Pune Placement Cell resources, Online aptitude test platforms, Interview prep guides, Industry-specific interview questions
Career Connection
Comprehensive preparation is essential to convert interview opportunities into job offers, leading to successful careers in top finance firms.
Leverage Summer Internship Project for Capstone Experience- (Post Semester 2 (SIP) and Semester 4 (SIP evaluation and application))
Maximize the learning from the Summer Internship Project (SIP) by applying all acquired theoretical and practical knowledge. Focus on delivering a high-quality project, meticulously documenting findings, and presenting insights professionally. This project often serves as a capstone experience and a strong talking point in interviews.
Tools & Resources
Project mentor guidance, SIBM Pune faculty supervision, Industry reports, Academic research databases
Career Connection
A well-executed SIP can lead to a Pre-Placement Offer (PPO) or provide a strong example of your capabilities during final placements, showcasing real-world application.
Program Structure and Curriculum
Eligibility:
- Graduate from any recognised University/Institution of National Importance with a minimum of 50% marks (45% for SC/ST candidates) at graduation. Final year students can also apply. Candidate should have appeared for Symbiosis National Aptitude (SNAP) Test.
Duration: 4 semesters / 2 years
Credits: 106 Credits
Assessment: Internal: 50%, External: 50%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 1.1.01 | Managing Business Organizations | Core | 3 | Nature and Significance of Management, Planning and Decision Making, Organizing and Staffing, Directing and Controlling, Managerial Roles and Skills, Ethics and Social Responsibility |
| 1.1.02 | Managerial Economics | Core | 3 | Demand Analysis and Forecasting, Production and Cost Analysis, Market Structures and Pricing Decisions, Macroeconomic Concepts, Business Cycles, Fiscal and Monetary Policies |
| 1.1.03 | Principles of Marketing Management | Core | 3 | Marketing Environment and Research, Consumer and Business Markets, Segmentation, Targeting, Positioning, Product and Brand Management, Pricing Strategies, Promotion and Distribution Channels |
| 1.1.04 | Financial Accounting | Core | 3 | Accounting Concepts and Principles, Journal, Ledger, Trial Balance, Preparation of Financial Statements, Cash Flow Statement, Financial Statement Analysis, Accounting Standards |
| 1.1.05 | Human Resource Management | Core | 3 | HR Planning and Job Analysis, Recruitment and Selection, Training and Development, Performance Management, Compensation and Benefits, Employee Relations |
| 1.1.06 | Operations Management | Core | 3 | Operations Strategy and Productivity, Process and Capacity Planning, Facility Location and Layout, Inventory Management, Quality Management and Control, Project Management |
| 1.1.07 | Business Statistics | Core | 3 | Data Collection and Presentation, Measures of Central Tendency and Dispersion, Probability and Probability Distributions, Sampling and Estimation, Hypothesis Testing, Correlation and Regression Analysis |
| 1.1.08 | Business Communication Skills | Core | 3 | Principles of Effective Communication, Verbal and Non-verbal Communication, Written Business Communication, Presentation Skills, Interpersonal Communication, Cross-Cultural Communication |
| 1.1.09 | Business Analytics Software | Core | 2 | Introduction to Business Analytics, Data Visualization Tools, Basic Statistical Functions in Excel, Data Management in Spreadsheets, Introduction to R/Python for Analytics, Case Studies and Practical Applications |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 1.2.01 | Marketing Research | Core | 3 | Marketing Research Process, Research Design and Methods, Sampling Techniques, Data Collection Methods (Qualitative, Quantitative), Data Analysis and Interpretation, Report Writing and Ethics in Research |
| 1.2.02 | Financial Management | Core | 3 | Time Value of Money, Capital Budgeting Decisions, Cost of Capital, Capital Structure Theories, Working Capital Management, Dividend Policy |
| 1.2.03 | Organizational Behaviour | Core | 3 | Foundations of Organizational Behavior, Perception, Attitudes, and Personality, Motivation Theories, Leadership Styles and Theories, Group Dynamics and Team Building, Conflict Management and Organizational Change |
| 1.2.04 | Macroeconomics for Business Decisions | Core | 3 | National Income Accounting, Inflation and Unemployment, Aggregate Demand and Supply, Fiscal Policy and Government Budget, Monetary Policy and RBI, International Trade and Exchange Rates |
| 1.2.05 | Management Accounting | Core | 3 | Cost Concepts and Classification, Cost Volume Profit Analysis, Budgeting and Budgetary Control, Standard Costing and Variance Analysis, Responsibility Accounting, Decision Making under Uncertainty |
| 1.2.06 | Business Law | Core | 3 | Indian Contract Act, Sale of Goods Act, Negotiable Instruments Act, Consumer Protection Act, Company Law Fundamentals, Intellectual Property Rights |
| 1.2.07 | Management Information Systems | Core | 3 | Role of Information Systems in Business, Database Management Systems, Enterprise Resource Planning (ERP), E-commerce and M-commerce, Decision Support Systems, Information Systems Security and Control |
| 1.2.08 | Research Methodology | Core | 3 | Nature and Significance of Research, Formulating Research Problem, Literature Review, Research Design Types, Data Collection and Analysis Techniques, Report Writing and Research Ethics |
| 1.2.09 | Spreadsheet Modeling for Business Decisions | Core | 2 | Advanced Excel Functions, Data Tables and Scenario Analysis, Goal Seek and Solver, Financial Modeling Techniques, Simulation and Risk Analysis, Business Case Studies using Spreadsheets |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 2.3.01 | Strategic Management | Core | 4 | Concept and Process of Strategic Management, Environmental Analysis (PESTEL, Porter''''s Five Forces), Internal Analysis (Resource-Based View, Value Chain), Strategy Formulation (Corporate, Business, Functional), Strategy Implementation and Control, Global and Digital Strategies |
| 2.3.02 | Indian Financial System | Elective (Finance) | 4 | Structure of Indian Financial System, Financial Markets (Money, Capital, Debt), Financial Institutions (Banks, NBFCs, Mutual Funds), Financial Services (Merchant Banking, Leasing), Regulatory Framework (RBI, SEBI, IRDAI), Recent Reforms in Indian Finance |
| 2.3.03 | Investment Management | Elective (Finance) | 4 | Risk and Return Analysis, Portfolio Theory (Markowitz Model, CAPM), Equity Valuation Models, Fixed Income Securities, Mutual Funds and ETFs, Behavioral Aspects of Investing |
| 2.3.04 | Corporate Restructuring, Mergers & Acquisitions | Elective (Finance) | 4 | Types of Corporate Restructuring, Mergers, Acquisitions, Takeovers, Valuation in M&A, Financing Mergers and Acquisitions, Legal and Regulatory Framework, Post-Merger Integration |
| 2.3.05 | Financial Risk Management | Elective (Finance) | 4 | Sources and Types of Financial Risk, Market Risk and Interest Rate Risk, Credit Risk Management, Derivatives for Hedging (Futures, Options), Value at Risk (VaR) and Stress Testing, Enterprise Risk Management (ERM) |
| 2.3.06 | International Financial Management | Elective (Finance) | 4 | Foreign Exchange Markets and Operations, Exchange Rate Theories and Forecasting, Managing Foreign Exchange Exposure, International Capital Budgeting, International Working Capital Management, Foreign Direct Investment and MNCs |
| 2.3.07 | Advanced Financial Management | Elective (Finance) | 4 | Advanced Capital Budgeting Techniques, Lease Financing, Project Finance, Dividend Theories and Practices, Capital Structure Theories and Decisions, Financial Distress and Restructuring |
| 2.3.08 | Financial Modelling | Elective (Finance) | 4 | Financial Statement Modeling, Valuation Modeling (DCF, Relative), Project Finance Modeling, Mergers & Acquisitions Modeling, Sensitivity and Scenario Analysis, Advanced Excel Tools for Modeling |
| 2.3.09 | Wealth Management | Elective (Finance) | 4 | Personal Financial Planning Process, Investment Products for Individuals, Retirement Planning, Estate Planning and Succession, Tax Planning for Individuals, Insurance Products and Planning |
| 2.3.10 | Management of Financial Services | Elective (Finance) | 4 | Overview of Financial Services Industry, Banking Services and Operations, Insurance and Pension Funds, Investment Banking and Merchant Banking, Venture Capital and Private Equity, Non-Banking Financial Companies (NBFCs) |
| 2.3.11 | Equity Research and Valuation | Elective (Finance) | 4 | Equity Market Analysis (Top-down, Bottom-up), Industry and Company Analysis, Financial Statement Analysis for Equity, Valuation Models (DCF, Comparable Companies), Equity Research Report Writing, Behavioral Finance in Equity Markets |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| 2.4.01 | Managing for Sustainability and CSR | Core | 4 | Concept of Sustainability and Business Ethics, Corporate Social Responsibility (CSR), Environmental, Social, and Governance (ESG), Sustainable Business Models, Circular Economy Concepts, CSR Reporting and Impact Measurement |
| 2.4.02 | Global Capital Markets | Elective (Finance) | 4 | Structure of Global Financial System, International Stock and Bond Markets, Global Derivatives Markets, Cross-Border Investments, International Regulatory Frameworks, Emerging Market Dynamics |
| 2.4.03 | Valuation & Securities Analysis | Elective (Finance) | 4 | Fundamental Analysis of Securities, Technical Analysis Principles, Enterprise Valuation Methods, Equity and Fixed Income Valuation, Valuation of Derivatives, Case Studies in Valuation |
| 2.4.04 | Structured Finance | Elective (Finance) | 4 | Securitization Process and Instruments, Asset-Backed Securities (ABS), Mortgage-Backed Securities (MBS), Collateralized Debt Obligations (CDOs), Credit Derivatives, Regulatory Aspects of Structured Finance |
| 2.4.05 | Fintech and Blockchain in Finance | Elective (Finance) | 4 | Overview of Fintech Ecosystem, Digital Payments and Mobile Banking, Robo-Advisors and Wealthtech, Introduction to Blockchain Technology, Cryptocurrencies and Digital Assets, Regulatory Sandboxes and Innovation Hubs |
| 2.4.06 | Fixed Income Securities & Derivatives | Elective (Finance) | 4 | Bond Valuation and Yield Measures, Interest Rate Risk and Management, Duration and Convexity, Interest Rate Futures and Forwards, Interest Rate Swaps and Caps/Floors, Credit Default Swaps (CDS) |
| 2.4.07 | Project Finance | Elective (Finance) | 4 | Project Appraisal and Feasibility Analysis, Risk Identification and Mitigation, Project Structuring and Legal Framework, Sources of Project Finance, Debt Structuring and Equity Participation, Case Studies in Project Finance |
| 2.4.08 | Behavioural Finance | Elective (Finance) | 4 | Foundations of Behavioral Finance, Cognitive Biases in Investing, Emotional Biases and Decision Making, Prospect Theory, Herd Behavior and Market Anomalies, Implications for Portfolio Management |
| 2.4.09 | Debt Markets in India | Elective (Finance) | 4 | Government Securities Market, Corporate Bond Market, Money Market Instruments, Credit Rating Agencies in India, Debt Market Trading and Clearing, Regulatory Framework (RBI, SEBI) for Debt |
| 2.4.10 | Equity Markets in India | Elective (Finance) | 4 | Primary and Secondary Equity Markets, Stock Exchanges (NSE, BSE) Operations, Trading Mechanisms and Demat System, Equity Indices and Derivatives, Mutual Funds and Portfolio Management, Role of SEBI in Equity Markets |
| 2.4.11 | Forensic Accounting & Fraud Analytics | Elective (Finance) | 4 | Introduction to Forensic Accounting, Types of Financial Fraud, Investigative Auditing Techniques, Data Analytics for Fraud Detection, Legal Aspects of Fraud Investigation, Cyber Fraud and Digital Forensics |
| 2.4.12 | Summer Internship Project (SIP) | Project | 6 | Industry Problem Identification, Literature Review and Research Design, Data Collection and Analysis, Report Writing and Documentation, Presentation of Findings and Recommendations, Application of Management Concepts |




