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MBA Finance Syllabus & Subjects: A Complete Year-Wise Breakdown
November 5, 2025
Have you been wondering what lies behind the world’s biggest decisions, like planning the growth of companies, the creation of wealth or the strategies that are made before making billion dollar investments? Well, the answer lies in the form of finance- the epicentre of major global businesses. And if you dream of becoming the mind that is behind these powerful moves, an MBA in Finance can be your gateway.
This is not just another degree. It is a transformative journey that trains you to think like a strategist, analyse like an economist and decide like a leader. From decoding stock markets to managing corporate investments, you will master the art of making money work smarter. Whether you want to become an investment banker, a financial analyst or simply a future CFO, this course is meant to build the foundation for all those ambitions.
So, if you are planning to pursue this programme in 2026, here is everything you should know, including the MBA Finance syllabus, eligibility criteria, career opportunities and more.
MBA in Finance- Key Highlights
| Particulars | Details |
| Course Name | Master of Business Administration in Finance |
| Course Level | Postgraduate |
| Duration | 2 Years |
| Eligibility | Bachelor’s degree in any discipline with minimum 50% marks |
| Admission Process | Entrance Exam
Group Discussion Personal Interview |
| Entrance Exams | CAT
XAT MAT CMAT NMAT SNAP GMAT TISS NET |
| Top Specialisations | Corporate Finance
Investment Banking Financial Analytics FinTech Risk Management |
| Core Subjects | Financial Accounting
Corporate Finance Investment Management Business Law Quantitative Analysis |
| Elective Subjects | International Finance
Mergers & Acquisitions Financial Modelling Real Estate Finance Behavioural Finance |
| Learning Approach | Case Studies
Live Projects Simulations Industry Internships |
| Internship Requirement | Mandatory summer internship after 1st year |
| Skills Developed | Analytical Thinking
Strategic Planning Financial Modelling Leadership Risk Assessment |
| Popular Job Roles | Financial Analyst
Investment Banker Risk Manager Portfolio Manager CFO |
| Average Salary Range | ₹7-20 LPA |
| Top Recruiters | Deloitte
EY KPMG PwC Goldman Sachs JP Morgan HDFC Bank ICICI Bank |
| Ideal For | Students aspiring to build a career in Finance, Investment, Corporate Strategy |
MBA in Finance Eligibility Criteria
- Bachelor’s degree in any discipline with 50% marks
- Valid score in entrance exams such as CAT, XAT, CMAT, NMAT, or GMAT
- A number of universities prefer candidates with work experience in finance or business
- Strong analytical, mathematical, and communication skills are an added advantage
MBA in Finance Subjects - What You’ll Learn
An MBA in Finance helps you understand how money moves, how business grows and how smart financial decisions shape global markets. The programme is created for building you a solid foundation in finance while also sharpening your analytical, decision-making as well as leadership skills. By combining theory with advanced learning skills, the MBA Finance syllabus prepares you to thrive in diverse roles- financial analyst, investment banker, or corporate strategist.
Here are some of the key subjects you will study-
| S.No. | Subject | What You’ll Learn |
| 1. | Financial Accounting | • Grasp the basics of financial statements and balance sheets
• Understand accounting principles for business decisions |
| 2. | Managerial Accounting | • Learn how accounting aids planning and budgeting
• Use data for better business decision-making |
| 3. | FinTech and Financial Analytics | • Explore how AI, blockchain, and digital tools reshape finance
• Understand data-driven financial innovation |
| 4. | Investment Management | • Learn portfolio building and security valuation
• Study global investment strategies |
| 5. | Financial Markets | • Understand how stock markets and bonds function
• Get familiar with trading systems and regulations |
| 6. | Risk Management | • Identify and assess financial risks
• Learn strategies to minimise losses and maintain stability |
| 7. | Quantitative Techniques for Financial Decisions | • Apply statistics and maths in finance
• Build models to make data-backed decisions |
| 8. | Business Economics | • Understand market forces and business environments
• Learn how economic trends shape financial planning |
| 9. | Taxation and Financial Regulations | • Study corporate tax systems and planning
• Learn legal compliance and financial governance |
| 10. | Financial Modelling | • Create models for forecasting and valuation
• Analyse real-world business and investment scenarios |
| 11. | International Finance | • Explore currency markets and exchange risks
• Learn how global companies manage finances |
| 12. | Mergers & Acquisitions (M&A) | • Understand deal structuring and valuations
• Learn the strategy behind corporate mergers |
| 13. | Behavioral Finance | • Discover how emotions influence financial decisions
• Learn to reduce biases in investment choices |
MBA Finance Syllabus - Core & Elective Subjects
Let’s have a look at core and elective subjects in MBA Finance syllabus, which may vary depending on the university-
| Core Subjects | Elective Subjects |
| Microeconomics | International Finance |
| Corporate Finance | Mergers & Acquisitions |
| Investment Management | Real Estate Finance |
| Financial Modelling | Fintech |
| Quantitative Analysis for Financial Decisions | |
| Business Law | |
| Financial Accounting |
Year-wise MBA Finance Syllabus
| Year 1 | Year 2 | ||
| Semester I |
Semester II | Semester III (Electives) | Semester IV (Electives) |
| Principles of Accounting | Corporate Financial Reporting & Analysis | Financial Modeling | Behavioral Finance |
| Microeconomics | Cost Management | Mergers & Acquisitions | Real Estate Finance |
| Business Law | Quantitative Analysis for Financial Decisions | Financial Markets & Institutions | Risk Management |
| Macroeconomics | Security Analysis and Investment Management | International Finance | Private Equity |
| Management Fundamentals | Business Communication | FinTech | Sustainable Investing |
Year 1
Semester 1- Building the Foundations of Finance
Your first semester in an MBA in Finance lays the groundwork for understanding how businesses operate, make decisions and sustain growth. It is all about learning the fundamentals that every successful finance professional relies on — from accounting and economics to management and law.
Here is a look at what you will study-
- Principles of Accounting
Grasp the language of business by learning the basics of accounting — from double-entry systems and financial statements to analysing a company’s financial health. You’ll start seeing numbers not just as figures, but as stories that reveal how a business performs. - Management Fundamentals
Understand what it means to lead and successfully manage people. This will build your skills in leadership, teamwork and communication, as well as examine how organisations operate and develop.
- Microeconomics
Discover how markets really work. Learn about supply and demand, pricing and consumer behaviour and how these principles influence real-world financial decisions — from product launches to investment planning. - Business Law
Finance does not operate in isolation - it operates within a framework of laws and ethics. This subject will introduce you to regulatory frameworks surrounding business, corporate governance and regulation which help ensure financial accountability and transparency.
- Macroeconomics
Take a broader look at the economy. Learn about the impact inflation, fiscal policy along with government spending have on the market, investments as well as global financial trends. This is where you start to link decisions made in business back to the national and global economy.
Semester 2- Strengthening Financial Expertise
During the second semester of your MBA in Finance, you will transition from the basic concepts of finance to exploring the analytical and strategic aspects of finance. This semester will focus on how financial decisions are made, how businesses relate costs and how professionals clearly and confidently communicate complex financial data.
Here is what you will explore-
- Corporate Financial Reporting & Analysis (or Financial Accounting and Analysis)
Take your accounting skills to the next level by learning how to interpret and evaluate financial statements. You will master analytical techniques to assess a company’s performance, spot financial strengths and weaknesses as well as make informed business decisions. - Cost Management
Discover how businesses plan and control costs to maximise profits. From cost behaviour analysis to budgeting and performance evaluation, this subject helps you make smarter resource allocation decisions that drive efficiency and growth. - Quantitative Analysis for Financial Decisions
Numbers tell stories — and this course teaches you how to read them. Learn how to apply statistical methods, financial mathematics and modelling tools to analyse data, forecast trends and support sound financial decision-making. - Security Analysis and Investment Management
Step into the world of investments. Understand how to evaluate securities, build portfolios, manage risks and apply modern investment theories to real market situations.
Year 2
Semester 3- Specialising in Specific Areas of Finance through Electives
In this semester, you will select your electives – the subjects that match your career aspirations and interests. Whether you are excited about global markets, advanced analytics or new FinTech developments, this semester allows you the flexibility to specialise as well as gain depth in the areas of study that most resonate with you and your aspirations.
Here is a glimpse of some popular electives you can explore-
- Financial Modelling
Acquire the skills to develop elaborate financial models that assist in forecasting financial performance, assessing investments as well as providing key support for large-scale financial decisions. You will work with actual data that will allow you to model and assess multiple business scenarios. - Mergers & Acquisitions
Engage in the vibrant world of mergers and acquisitions as you discover how a deal is valued, structured and concluded from negotiation & due diligence to integration and ongoing performance monitoring. - International Finance
Finance goes beyond borders. This course helps you understand global investment strategies, foreign exchange risks and how multinational corporations manage finances across countries. - FinTech (Financial Technology)
Step into the future of finance. Learn how technologies like blockchain, AI and digital banking are transforming financial services and creating entirely new business models.
Semester 4- Mastering Advanced Financial Domains through Electives
Your final semester is where everything you have learned comes together. This stage lets you specialise even further and explore emerging areas of finance that define today’s global economy. It is the perfect opportunity to refine your expertise, apply your analytical skills and prepare for leadership roles in the financial world.
Here are some of the advanced elective options you can choose from-
- Real Estate Finance
Learn the financial dynamics of the property market. From real estate valuation and financing methods to investment strategies for commercial and residential properties, this course offers a deep dive into one of the most lucrative sectors of finance. - Risk Management
Develop the skills necessary to identify, assess as well as manage various types of financial and operational risks. You will investigate actual frameworks employed by firms and financial institutions to protect their holdings and create long-term stability. - Private Equity
Step into the world of venture capital and private investments. Learn how investors identify opportunities, evaluate start-ups, structure deals and manage portfolios for maximum returns. - Sustainable Investing
Learn how finance can foster sustainable impact. Discover Environmental, Social and Governance investing and learn how to manage sustainability goals when making investment decisions and corporate decisions.
MBA Finance Syllabus - Popular Books and Authors
A good finance professional never stops learning and books are the best teachers you can have. Whether you’re pursuing an MBA in Finance or already working in the industry, these insightful reads will help you understand the financial world from multiple perspectives — from market psychology and investment strategies to modern business models and economic fundamentals.
Here are some of the most highly recommended books for students and aspiring financial experts to study the MBA Finance syllabus-
| S.No. | Book Title | Author | Why You Should Read It |
| 1. | How Finance Works | Mihir Desai | An ideal introduction for anyone wanting to understand the basics of financial statements and business finance. Desai simplifies the complicated world of finance into simple, enjoyable lessons that make financial concepts easy and fun to learn. |
| 2. | The Big Short | Michael Lewis | A gripping narrative that explains the 2008 financial crisis through the eyes of investors who predicted it. This book teaches you to question market trends and think critically — a key skill for every finance professional. |
| 3. | The Five Rules for Successful Stock Investing | Pat Dorsey | A practical guide for those who want to master the art of smart investing. Dorsey simplifies how to identify quality companies, analyse stocks and understand what truly drives long-term success in the market. |
| 4. | Modern Monopolies | Alex Moazed & Nicholas Johnson | An insightful glimpse into the transformation of current business influenced by platform-based companies such as Amazon and Uber. This book will help finance students understand both how innovation and digital ecosystems are changing the archetype of value creation.
|
| 5. | Economics- The User’s Guide | Ha-Joon Chang | Essential for anyone seeking to grasp the economic processes. Chang discusses complicated economic theory conversationally and in a way that hits home, providing a bridge from economic ideas to actual financial systems. |
How to Choose the Right MBA in Finance College
- Check the MBA Finance Syllabus
Make sure the MBA finance syllabus covers areas like investment, risk management and corporate finance that match your interests.
- Evaluate Faculty Expertise
Look for experienced professors with strong industry or research backgrounds.
- Placement & Internships
Choose colleges with good placement records and strong ties to financial firms or banks.
- Global Exposure
International collaborations or exchange programmes can add huge value.
- Campus Environment
A vibrant, supportive atmosphere can make your learning journey enjoyable.
- Alumni Success
Strong alumni networks often lead to better mentorship and opportunities.
Career Pathways After an MBA in Finance
A comprehensive MBA Finance syllabus prepares students for high-impact roles across industries like-
- Risk Manager
- CFO- Chief Financial Officer
- Financial Consultant
- Corporate Treasurer
- Portfolio Manager
- Finance Controller
- Investment Banking Analyst
Lead the Financial Revolution with an MBA in Finance at BML Munjal University (BMU)
BML Munjal University’s MBA in Finance is a future-oriented course that aims at creating innovative finance leaders. This 2-year course combines theoretical expertise along with real-world exposure through live projects, case studies as well as engagement with industry leaders. Students will develop strong foundational knowledge of finance-related disciplines such as corporate finance, fintech and risk management and be able to acquire and hone their capacity for leadership and decision-making.
Key Highlights of the MBA in Finance Course offered at BMU:
| Particulars | Details |
| Duration | 2 years (Full-time postgraduate programme) |
| Focus | Integrates business management fundamentals with specialised finance training |
| Key Subjects | Business Statistics
Micro-Economics Marketing and Consumer Behaviour Macro Economics & Policy Costing Products and Services |
| Learning Approach | Case studies, live projects, and experiential learning for practical understanding |
| Objective | To build analytical, strategic and leadership skills for financial roles |
| Career Opportunities | Investment Banking, Corporate Finance, Portfolio Management, Risk Analysis |
| Industry Exposure | Strong collaboration with industry experts and real-world finance projects |
| Outcome | Graduates become job-ready, globally competitive finance professionals |
| Ideal For | Students aspiring to be Financial Analysts, Wealth Managers or CFOs |
Synopsis
An MBA in Finance equips you with strong analytical skills along with leadership skills essential for today’s evolving financial world. With its blend of theory and practical exposure, the programme prepares you to excel in roles such as investment banking, corporate finance as well as risk management. Ready to shape the future of global finance? Take the next step in your journey and apply now for the MBA in Finance course at BML Munjal University (BMU).
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FAQs
The MBA Finance syllabus usually incorporates Financial Accounting & Analysis, Business Economics, Business Law, Cost and Management Accounting, Taxation – Direct and Indirect, Capital Market and Portfolio Management, Strategic Cost Management, Corporate Finance and Marketing for Financial Services.
An MBA programme with a concentration in finance can be challenging, particularly for those who do not have a good math or analytical background as the curriculum is quantitatively demanding.
Investments, financial institutions, international finance as well as corporate finance are the four main areas of finance.



