MBA in Banking and Finance Syllabus - School of Business Studies - Sharda University (SBS-SU), Greater Noida

  • Years 2 Years
  • Type Course Post Graduate
  • stream Management
  • Delivery Mode
Written By universitykart team | Last updated date Jul, 07, 2024

The MBA in Banking and Finance syllabus at School of Business Studies - Sharda University (SBS-SU), Greater Noida is designed to provide overall knowledge to the students with a strong foundation. MBA in Banking and Finance faculty at School of Business Studies - Sharda University (SBS-SU) specially focus on in-depth learning to relevant subjects. At first semester syllabus of MBA in Banking and Finance at School of Business Studies - Sharda University (SBS-SU), students learn the basics of programme. A strong foundation is very important for comprehensive learning. MBA in Banking and Finance syllabus at School of Business Studies - Sharda University (SBS-SU), Greater Noida maintains a balance between theoretical knowledge and practical knowledge.

MBA in Banking and Finance first year students at School of Business Studies - Sharda University (SBS-SU) are introduced with core subjects. Then they are encouraged to explore other area for a broader perspective. School of Business Studies - Sharda University (SBS-SU), Greater Noida also provides practical training sessions, workshops, projects, and case studies to enhance student skills. MBA in Banking and Finance syllabus at School of Business Studies - Sharda University (SBS-SU), Greater Noida is also frequently updated to give industry relevant training and knowledge to students. School of Business Studies - Sharda University (SBS-SU) strives to provide a nurturing environment where students can learn new skills. The hands-on training sessions at School of Business Studies - Sharda University (SBS-SU) enable MBA in Banking and Finance students to apply knowledge and skills in a controlled environment and get required experience.

According to syllabus of MBA in Banking and Finance progress, students learn advanced topics and complex concepts. The MBA in Banking and Finance curriculum at School of Business Studies - Sharda University (SBS-SU), Greater Noida mainly focuses on analytical and critical thinking. As the MBA in Banking and Finance course unfolds, students develop several important skills that increases their employability. As per syllabus of MBA in Banking and Finance at School of Business Studies - Sharda University (SBS-SU) also includes real-life projects and internship programs. It helps students critical thinking and gives them real-world experience.

MBA in Banking and Finance curriculum at School of Business Studies - Sharda University (SBS-SU) includes group discussions, guest lectures, case studies, and skill development workshops to enhance the learning experience. The MBA in Banking and Finance syllabus at School of Business Studies - Sharda University (SBS-SU) aims to create well-rounded professionals equipped with the necessary skills and knowledge to succeed in their chosen fields.

Additional curriculum at School of Business Studies - Sharda University (SBS-SU)

  1. Workshops and Seminars - Regular sessions with industry experts help MBA in Banking and Finance students at School of Business Studies - Sharda University (SBS-SU) to stay updated with current trends.
  2. Group Projects - Collaborative projects according to School of Business Studies - Sharda University (SBS-SU) syllabus develop teamwork and problem-solving skills.
  3. Case Studies - MBA in Banking and Finance syllabus offers analysis of real-world scenarios to apply theoretical knowledge.
  4. Extracurricular Activities - School of Business Studies - Sharda University (SBS-SU) offers several activities like sports, clubs, societies, etc. to encourage overall development.

Note: Given below syllabus is based on the available web sources. Please verify with the School of Business Studies - Sharda University (SBS-SU), Greater Noida for latest MBA in Banking and Finance curriculum.

MBA in Banking and Finance Syllabus:


The MBA in Banking and Finance syllabus prepares students for careers in the dynamic financial sector. It covers fundamental finance principles along with specialized topics like investment banking, risk management, and financial derivatives. Students gain insight into banking operations, regulatory compliance, and fintech innovations. The curriculum often incorporates real-world simulations and case studies to enhance practical skills. Graduates are well-suited for roles in commercial and investment banking, financial analysis, and corporate 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

MBA in Banking and Finance Projects

(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

MBA in Banking and Finance Reference Books

(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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