MBA – Banking & Financial Services

Master enterprise credit governance, global investment portfolios, risk modeling schemes, and next-gen FinTech structural mechanics.

Financial Sector Specialization Matrix

Investment Banking & Valuation
Commercial Bank Governance
Risk Modeling & Derivatives
FinTech & Blockchain Ecosystems
Strategic Corporate Finance
Wealth & Asset Portfolios

Academic Regulations

Active PG Framework

R25 Regulations

Comprehensive layout structural matrix for postgraduate studies, credit metrics alignment, core dissertation thesis guidelines, and advanced computing assessment frameworks required for compliance.

Download R25 Regulation

🔍 Core Financial Tracks

  • Investment Analysis & Asset Control

    • Fixed-income securities modeling
    • Equity evaluation loops & stress testing
    • Optimal portfolio construction paths
  • Risk Regulation & Governance

    • Basel III/IV systemic compliance loops
    • Credit risk predictive analytics
    • Market volatility simulation schemes
  • FinTech Innovation Engines

    • Digital transaction ledgers & smart contracts
    • Automated algorithmic lending logic
    • AI-powered fraud detection analytics

Course Logistics

Duration & Framework

2 Years (4 Semesters) structured executive management track fully aligned with AICTE frameworks.

Eligibility Criteria

Bachelor's degree in any stream (Commerce, Management, Engineering) with verified credentials.

Applied Dissertations

Compulsory final-semester residential field internships inside global banking and investment groups.

ABOUT THE BANKING & FINANCIAL FRAMEWORK