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M-COM in Financial Management at University of Calicut

Calicut University, a premier public state university located in Thenhipalam, Malappuram, was established in 1968. Recognized with an 'A+' grade by NAAC, the university offers over 400 diverse programs across 35 departments. Spread across a sprawling 520-acre campus, it is known for its academic strength, research initiatives, and a favorable gender ratio with a significant female student population. The university was ranked 89th in the University category by NIRF 2024.

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Malappuram, Kerala

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About the Specialization

What is Financial Management at University of Calicut Malappuram?

This Financial Management program at the University of Calicut focuses on equipping students with advanced knowledge and skills in corporate finance, investment management, and financial markets. It addresses the dynamic needs of the Indian economy, preparing graduates for roles in the burgeoning financial services sector. The program emphasizes both theoretical foundations and practical applications relevant to the Indian industry context, differentiating it through a blend of contemporary financial tools and local market insights.

Who Should Apply?

This program is ideal for commerce graduates (B.Com, BBA, BBM) seeking to specialize in finance. It caters to fresh graduates aspiring for entry-level finance roles in banks, mutual funds, and corporate finance departments, as well as working professionals aiming for career advancement or transitioning into core financial management positions. Candidates with a strong quantitative aptitude and an interest in financial markets, economic analysis, and corporate decision-making will find this specialization particularly rewarding.

Why Choose This Course?

Graduates of this program can expect diverse career paths in India, including financial analyst, investment manager, credit analyst, portfolio manager, and treasury executive roles. Entry-level salaries typically range from INR 3-6 lakhs per annum, with experienced professionals earning significantly more. The program aligns with professional certifications like NISM and aims to provide a strong foundation for further certifications like CFA, enhancing growth trajectories in Indian companies across banking, asset management, and corporate finance.

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Student Success Practices

Foundation Stage

Strengthen Quantitative & Analytical Skills- (Semester 1-2)

Dedicate time to master quantitative techniques and business statistics by solving problems regularly. Utilize online platforms for practice and join peer study groups to clarify concepts. Focus on understanding the application of these tools in business scenarios.

Tools & Resources

NPTEL courses on Business Statistics, Khan Academy, Textbooks on Quantitative Techniques, Peer study groups

Career Connection

Strong quantitative skills are fundamental for financial modeling, data analysis, and risk assessment, directly impacting roles in financial analysis and investment management.

Build a Strong Accounting & Economic Base- (Semester 1-2)

Pay close attention to Financial Accounting, Advanced Corporate Accounting, and Business Environment. Understand the regulatory frameworks, accounting standards, and macroeconomic indicators, as these form the bedrock for financial decision-making. Read business newspapers daily.

Tools & Resources

ICAI study material for accounting standards, Economic Times, Business Standard, Academic journals

Career Connection

A solid grasp of accounting principles and economic context is crucial for interpreting financial statements, evaluating company performance, and understanding market trends, essential for any finance role.

Develop Research & Report Writing Proficiency- (Semester 1-2)

Actively engage in research methodology assignments, focusing on critical thinking, data collection ethics, and structured report writing. Seek feedback on your writing style and clarity. Participate in college-level paper presentations.

Tools & Resources

Mendeley for referencing, Grammarly for writing improvement, University library resources, Research journals

Career Connection

Effective research and communication skills are vital for preparing investment reports, market analyses, and policy recommendations, setting candidates apart in professional settings.

Intermediate Stage

Dive Deep into Financial Markets & Securities- (Semester 3)

Beyond textbooks, actively track Indian stock markets, money markets, and financial news. Understand how SEBI regulations impact market operations. Consider opening a demat account (if permissible) to observe real-time trading dynamics with minimal investment.

Tools & Resources

NSE India website, BSE India website, Moneycontrol.com, NISM certifications (Equity Derivatives, Mutual Funds)

Career Connection

Practical exposure to financial markets is indispensable for roles in investment banking, portfolio management, wealth management, and trading, providing a competitive edge in interviews.

Master Security Analysis and Portfolio Management- (Semester 3)

Apply theoretical concepts of security valuation and portfolio construction to real-world companies. Conduct mock security analyses and create hypothetical portfolios using historical data. Participate in investment challenges or simulations.

Tools & Resources

Excel for financial modeling, Investing.com, Stock screener tools, Academic case studies

Career Connection

These skills are directly applicable to becoming a research analyst, equity analyst, or portfolio manager, crucial for advising clients or managing funds effectively.

Explore International Finance Dynamics- (Semester 3)

Understand global economic factors influencing currency exchange rates and international trade. Follow news related to central bank policies of major economies and geopolitical events. Learn about basic hedging strategies using derivatives.

Tools & Resources

RBI website, IMF publications, Bloomberg Terminal (if accessible via college), Foreign exchange news portals

Career Connection

Knowledge of international finance prepares students for roles in treasury management, foreign exchange dealing, and international business finance within multinational corporations or export-import firms.

Advanced Stage

Specialize in Derivatives & Strategic Finance- (Semester 4)

Gain expertise in financial derivatives by understanding their pricing, applications, and risk management implications. Work on case studies involving strategic financial decisions like mergers, acquisitions, and capital restructuring to build practical insights.

Tools & Resources

Bloomberg/Refinitiv Eikon (if available), Advanced Excel functions, Financial journals, CFA curriculum resources

Career Connection

Mastery of derivatives is critical for roles in risk management, investment banking, and proprietary trading. Strategic finance skills are essential for corporate finance leadership positions.

Execute a High-Quality Project Work- (Semester 4)

Choose a project topic relevant to financial management, preferably involving real-world data analysis or a challenging case study. Ensure robust methodology, thorough data analysis, and clear presentation of findings. Seek mentorship from faculty or industry professionals.

Tools & Resources

Statistical software (SPSS, R, Python), Financial databases, Expert interviews

Career Connection

A well-executed project demonstrates analytical capability, problem-solving skills, and domain expertise, significantly boosting employability for research-oriented or strategic roles.

Prepare for Placements and Professional Certifications- (Semester 4)

Start placement preparation early, focusing on resume building, interview skills, and quantitative aptitude tests. Network with alumni and industry professionals. Simultaneously, prepare for entry-level NISM certifications to enhance your marketability.

Tools & Resources

Career services cell, LinkedIn, Mock interview platforms, NISM exam prep materials

Career Connection

Proactive preparation ensures better placement opportunities in top financial firms. Professional certifications validate specialized knowledge, making candidates more attractive to employers in the competitive Indian job market.

Program Structure and Curriculum

Eligibility:

  • B.Com / BBA / BBM Degree of University of Calicut or an equivalent degree of any other University recognized by the University of Calicut with not less than 45% marks for the B.Com/BBA/BBM Degree (45% for B.Com/BBA/BBM and 50% for other UG Degrees).

Duration: 4 semesters / 2 years

Credits: 80 Credits

Assessment: Internal: 20%, External: 80%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
COM1C01Business Environment and PolicyCore4Business environment concepts, Economic environment, Political and legal environment, Socio-cultural environment, Technological environment, Global environment
COM1C02Quantitative Techniques for Business DecisionsCore4Matrices and determinants, Differential calculus, Integral calculus, Linear programming, Network analysis (PERT/CPM)
COM1C03Research MethodologyCore4Research concepts, Research design, Data collection methods, Sampling, Data processing and analysis, Research report writing
COM1C04Financial Accounting and ReportingCore4Accounting standards, Company accounts, Valuation of goodwill and shares, Financial statements analysis, Human resource accounting
COM1A01General Elective: Environmental ManagementElective (General)4Environmental pollution, Environmental policy, Waste management, Environmental ethics, Sustainable development

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
COM2C05Organisational BehaviourCore4Organizational behavior concepts, Personality and attitudes, Motivation, Group dynamics, Leadership, Conflict management
COM2C06Advanced Corporate AccountingCore4Amalgamation, Absorption, External reconstruction, Holding companies, Accounting for liquidation, Bank accounts
COM2C07Marketing ManagementCore4Marketing concepts, Market segmentation, Product decisions, Pricing strategies, Promotion decisions, Distribution channels
COM2C08Advanced Business StatisticsCore4Probability distributions, Estimation, Hypothesis testing, Chi-square test, Analysis of variance, Correlation and regression
COM2A02General Elective: Principles and Practice of Co-operationElective (General)4Co-operation principles, Co-operative movement in India, Types of co-operatives, Co-operative administration, Challenges of co-operatives

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
COM3C09Strategic ManagementCore4Strategic management process, Environmental appraisal, Corporate strategy, Business strategy, Strategy implementation, Strategic evaluation
COM3F01Financial Markets and InstitutionsSpecialization Core (Financial Management)4Indian financial system, Money market, Capital market, Financial intermediaries, SEBI regulations, Global financial markets
COM3F02Security Analysis and Portfolio ManagementSpecialization Core (Financial Management)4Investment environment, Security analysis, Valuation models, Portfolio theory, Portfolio management, Mutual funds
COM3F03International Financial ManagementSpecialization Core (Financial Management)4International financial system, Foreign exchange markets, Exchange rate determination, Hedging techniques, International investment, Multinational capital budgeting
COM3A03General Elective: Production and Operations ManagementElective (General)4Operations management concepts, Production planning, Inventory management, Quality management, Project management, Supply chain management

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
COM4C10Income Tax Planning and ManagementCore4Income tax fundamentals, Residential status, Income from salary, Income from house property, Business and profession income, Capital gains
COM4C11Project WorkProject4Problem identification, Literature review, Research design, Data collection, Data analysis, Report writing
COM4F04Financial DerivativesSpecialization Core (Financial Management)4Derivatives markets, Forwards and futures, Options, Swaps, Risk management using derivatives, Pricing of derivatives
COM4F05Strategic Financial ManagementSpecialization Core (Financial Management)4Financial strategy, Investment decisions, Financing decisions, Dividend decisions, Working capital management, Corporate restructuring
COM4C12Comprehensive Viva VoceViva Voce4Overall knowledge of M.Com subjects, Project work defense, General awareness in commerce
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