MBA in Financial Analysis

MBA in Financial Analysis is a 2-year postgraduate program designed for individuals seeking advanced knowledge in finance, investment analysis, and corporate financial management. The course focuses on financial modeling, risk management, portfolio management, financial reporting, and the analysis of financial markets. Students learn to assess financial performance, make strategic investment decisions, and apply analytical tools to solve complex financial problems. The program incorporates case studies, practical training, and internships, providing real-world exposure to financial strategies. Graduates of this program can pursue careers in investment banking, financial consulting, risk management, corporate finance, and financial planning. They are well-equipped to work in industries such as banking, insurance, and asset management, or take up roles in multinational corporations and financial institutions.