Explore the syllabus of the MBA program in Banking and Finance. From financial analysis to risk management, delve into the subjects that will equip you with essential skills for a career in banking and finance.
Year | MBA in Banking and Finance Subjects |
MBA in Banking and Finance First Year | Financial Accounting and Analysis |
Managerial Economics | |
Quantitative Methods for Decision Making | |
Business Communication | |
Banking and Financial Services | |
Financial Management and Policy | |
Organizational Behavior | |
Marketing Management | |
Human Resource Management | |
Legal Aspects of Banking and Insurance | |
Research Methodology and Data Analysis | |
MBA in Banking and Finance Second Year | Commercial Banking |
Investment Management | |
Risk Management in Banks | |
International Finance | |
Financial Derivatives and Markets | |
Financial Statement Analysis | |
Strategic Management | |
Business Ethics and Corporate | |
Governance | |
Treasury and Forex Management | |
Project Management in Banking and | |
Financial Institutions |
(1). Comparative Analysis of Banking
(2). Regulations in Different Countries
(3). Credit Risk Assessment and Management Strategies in Banks
(4). Portfolio Management and Investment Analysis in Financial Institutions
(5). Impact of Digital Transformation on Banking and Financial Services
(6). Financial Performance Evaluation of Banks and Insurance Companies
(7). Risk Management in Derivatives Trading
(8). Customer Relationship Management in Banking Sector
(9). Financial Inclusion Initiatives and their (10). Impact on Rural Economy
(1). Bank Management and Financial Services by Peter S. Rose and Sylvia C. Hudgins
(2). Financial Institutions Management: A Risk Management Approach" by Anthony Saunders and Marcia Millon Cornett
(3). Investment Banking: Valuation, Leveraged Buyouts, and Mergers & Acquisitions" by Joshua Pearl and Joshua Rosenbaum
(4). International Financial Management by Cheol Eun and Bruce Resnick"Banking and Financial Services: The Indian Scenario" by N.S. Toor and Arundeep Toor
(5). Financial Risk Management: A Practitioner's Guide to Managing Market and Credit Risk" by Steve L. Allen
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