Learn financial management, risk analysis, and insurance principles remotely. Your path to a finance career starts here.
A Distance MBA in Banking, Financial, and Insurance (BFI) is a program designed to provide students with a comprehensive understanding of the financial services industry. The syllabus typically covers a wide range of subjects, including Banking Operations, Financial Markets, Risk Management, Insurance Principles, Investment Analysis, and Regulatory Frameworks. Students also explore topics related to financial technology (FinTech) and its impact on the BFI sector.
This distance MBA program allows students the flexibility to study remotely, making it suitable for working professionals seeking to advance their careers in the finance and insurance sectors. Graduates of this program are well-equipped for roles such as financial analysts, investment bankers, insurance underwriters, and risk managers in banking, financial, and insurance organizations.
1st Year OR 1st & 2nd Semester Syllabus of Distance MBA in Banking Financial Insurance
Semesters | Subjects |
Semester 1 | Principles and Practices of Management |
Communication Management | |
Accounting for Managers | |
Principles & Practices of Banking | |
Semester 2 | Economics for Managers |
Financial Management | |
Insurance Management | |
Insurance Product | |
Marketing Management |
2nd Year OR 3rd & 4th Semester Syllabus
of Distance MBA in
Banking Financial Insurance
Semesters | Subjects |
Semester 3 | Human Resource Management |
Merchant Banking & Financial Services | |
Statistic for Management | |
Organizational Behaviour | |
Semester 4 | Team management |
Strategic Credit Management | |
Legal Aspect of Banking | |
Treasury & Risk Management | |
Resource mobilization and marketing of banking services |
Please note that the
courses mentioned in the table are indicative and may vary depending on the
specific program and institution.
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