MBA Finance
Finance leadership through analytical, strategic, and market-focused management education.
Program Overview
The MBA in Finance develops advanced financial management expertise, preparing graduates for analytical and strategic roles in banking, insurance, corporate finance, and financial markets through rigorous academic and applied learning.
Students gain proficiency in financial analysis, investment decision-making, corporate finance strategies, risk assessment, market evaluation, and data-driven financial planning using quantitative tools and frameworks.
At a Glance
Duration
2 Years
Semesters
4 Semesters
Scholarship
Available
Eligibility
Qualification
Bachelor’s degree
Branch Required
Minimum Score
50% aggregate
Entrance Exams
Program Highlights
Finance-Focused Curriculum
Deep coverage of financial markets, corporate finance, and investments
Analytical Skill Development
Emphasis on quantitative analysis and financial decision models
Research-Driven Learning
Exposure to finance research and contemporary financial issues
Industry Engagement
Practical insights through internships and collaborative projects
Syllabus
The curriculum progresses from management and financial foundations to advanced finance applications, integrating analytical tools, strategic finance concepts, research exposure, and experiential learning components.
Major Specialization Tracks
Students may select a specialization to develop deep expertise. Elective subjects will be based on the chosen track.
Finance
Advanced financial management, investments, and market analysis
Program Outcomes
- Analyze financial statements for strategic business decisions
- Design investment and portfolio management strategies
- Evaluate financial risks and market performance
- Implement corporate finance and funding solutions
Career Pathways
Graduates are equipped to work with top-tier tech companies and startups in a wide range of roles.