Chandigarh University has ventured into Open & Distance Learning with the goal of delivering inexpensive Distance Education. Chandigarh University focuses on student-centric quality and online education for aspirants to cater to and fill the demands of learners who are unable to complete their education for a variety of reasons. Chandigarh University (Punjab) is dedicated to achieving excellence in Distance & Online Learning by utilizing cutting-edge technologies. The article will focus on Chandigarh University distance MBA in Finance.
MBA Finance is a two-year postgraduate degree programme for those interested in working in finance. MBA in Finance admissions to top MBA institutes in India are presently open. Admission to the MBA in Finance programme is determined by national or state-level entrance exams such as the CAT, MAT, XAT, SNAP, and others.
The MBA Finance course will help you understand the financial management parts of a company and will prepare you for the workforce. Access control, finance, financial accounting, organizational performance, mergers and acquisitions, and other topics will be covered in the course. Financial report analysis, mergers, cultural developments, stock market analysis, and other concepts can be better understood by combining management and finance issues. The course will teach you how to understand an investment portfolio, manage risk and return, boost stock earnings, and much more. The programme is structured into four semesters and lasts two years. Candidates with an MBA in Finance can pursue a profession in finance.
Chandigarh University distance MBA in Finance –
Eligibility –
With a few variances in terms of the minimum percentage necessary, relaxations, and accommodations, almost all universities have identical qualifying conditions for MBA finance admission:
Applicants must have a bachelor’s degree from a recognized university/college in any field with a minimum of 50% grades or an equivalent CGPA.
A total score of more than 80% may be required by top MBA finance schools.
Learners from SC/ST/PWD backgrounds are eligible for a 5% discount.
Candidates in their final year are also eligible to apply if they present a letter of no objection from their college.
Some schools (such as top IIMs, Harvard, and LBS) need at least 1-2 years of additional work experience in finance, banking, or accounting.
Curriculum –
Year I
- Micro Economics
- Financial Modelling
- Corporate Social Responsibility
- Supply Chain Management
- Principles of Accounting
- Business Intelligence
- Principles of Marketing Management
- Strategic Management
- Tools and Frameworks for Decision Making
- Managerial Economics
- Quantitative Methods and Statistics
- Marketing Research
- Business Communication And Soft skills
- Corporate Governance and Business Ethics
Year II
- Macro Economics
- Internship Projects
- Corporate Management
- Marketing Management
- Operations Management
- Organization Behaviour
- Optimization and Project Research
- Project Management
Career Scope –
MBA in Finance is beneficial for those who wish to excel in finance and develop their professions. Experts predict that the banking and finance sector will employ 8.4 million people over the next 6-8 years.
MBA Financial, according to real business, offers tremendous chances in the financial industry, including IB Asset Management, Quantitative Research, IB Risk Management, Corporate financial, and Finance Analyst. Students completing an MBA Finance programme at IIM Ahmadabad were offered monthly salary ranging from INR 20,000 to 35,000, with variable pay ranging from INR 40,000 to 70,000.
Credit Suisse India, Credit Suisse Singapore, JP Morgan, Morgan Stanley, HUL, Amazon, American Express, P&G, and many other major corporations hire MBA Finance candidates.
The Distance MBA in Finance programme at Chandigarh University covers a wide range of topics. Graduates of the programme can work in a range of fields, including:
Working with huge organizations to manage their financial resources, make investment decisions, and build financial strategies to meet company goals is what corporate finance is all about.
Working for investment banks to assist clients in raising funds, managing mergers and acquisitions, and providing financial advice.
Financial analysis entails working with businesses or financial organizations to analyze financial data and provide investment suggestions.
Portfolio management entails working for asset management organizations to manage clients’ investment portfolios.
Risk management is the process of identifying and managing financial hazards for businesses or financial organizations.




