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M-COM in Financial Services at University of Mysore

University of Mysore, a premier state university in Mysuru, Karnataka, established in 1916, is recognized for academic excellence. With NAAC 'A' Grade, it offers diverse programs. Ranked 54th in NIRF 2024 University category, it provides a vibrant learning environment.

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Mysuru, Karnataka

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About the Specialization

What is Financial Services at University of Mysore Mysuru?

This Financial Services program at University of Mysore focuses on equipping students with advanced knowledge and analytical skills crucial for the dynamic Indian financial sector. It covers diverse areas like investment management, derivatives, banking, and insurance, responding to the growing demand for specialized finance professionals in the country''''s rapidly evolving economy. The curriculum is designed to foster a deep understanding of financial markets and institutions.

Who Should Apply?

This program is ideal for commerce graduates holding a B.Com, BBM, or BBA degree who aspire to build a career in finance. It caters to fresh graduates seeking entry-level roles in banks, investment firms, or fintech companies, as well as working professionals aiming to upskill or transition into specialized financial services domains within the vibrant Indian market.

Why Choose This Course?

Graduates of this program can expect to pursue lucrative career paths such as Investment Analyst, Financial Advisor, Portfolio Manager, Risk Manager, or roles in banking and insurance sectors within India. Entry-level salaries typically range from INR 3-6 lakhs annually, with significant growth trajectories for experienced professionals. The curriculum aligns with requirements for certifications like NISM, enhancing professional credibility.

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Specialization

Student Success Practices

Foundation Stage

Strengthen Core Business Fundamentals- (Semester 1-2)

Dedicate time to thoroughly understand foundational subjects like Business Research Methods, Advanced Financial Management, and Managerial Economics. Focus on conceptual clarity, problem-solving techniques, and the interlinkages between these core disciplines. Engage in active classroom participation and peer study groups to solidify understanding.

Tools & Resources

Textbooks, University library resources, Peer study groups, Basic financial calculators, Online tutorials on management concepts

Career Connection

A strong foundation in these areas is crucial for subsequent advanced finance topics and for excelling in entrance exams for higher studies or initial rounds of competitive job interviews.

Develop Quantitative and Analytical Skills- (Semester 1-2)

Master the quantitative techniques and statistical tools taught in subjects like Quantitative Techniques for Business Decisions and Advanced Business Statistics. Practice applying these methods to real-world business problems and financial data. Utilize software like MS Excel for data analysis tasks.

Tools & Resources

MS Excel, Statistical software tutorials, Practice problem sets, Online platforms like Coursera/edX for basic statistics courses

Career Connection

Proficiency in quantitative analysis is highly valued in financial roles for data interpretation, risk assessment, and financial modeling, enhancing employability in analytics-driven roles.

Explore the Indian Financial Landscape- (Semester 1-2)

Beyond classroom learning in ''''Indian Financial System,'''' actively follow financial news, read business newspapers (e.g., Economic Times, Business Standard), and watch business channels. Understand current market trends, regulatory changes, and the roles of key financial institutions in India. This builds contextual knowledge.

Tools & Resources

Financial news portals, Business newspapers, RBI and SEBI websites, NISM certifications (introductory modules)

Career Connection

Familiarity with the Indian financial ecosystem demonstrates industry readiness and deepens understanding, making you a more attractive candidate for financial sector jobs.

Intermediate Stage

Deep Dive into Financial Specialization- (Semester 3-4)

Focus intensely on specialization subjects such as Investment Management, Financial Derivatives, and International Financial Management. Engage with case studies, real-world examples, and industry reports to understand practical applications. Consider taking NISM certifications relevant to these areas like Equity Derivatives or Mutual Funds.

Tools & Resources

NISM certification modules, Financial Times, Wall Street Journal, Bloomberg Terminal (if accessible), Case studies on financial instruments

Career Connection

This specialized knowledge is directly applicable to roles in investment banking, portfolio management, treasury, and wealth management, opening doors to advanced positions.

Cultivate Practical Industry Exposure- (Semester 3-4)

Seek internships at banks, investment firms, wealth management companies, or fintech startups during breaks or as part of your curriculum. Actively participate in financial workshops, seminars, and guest lectures. Work on the Project Work (Dissertation) on an industry-relevant topic under faculty guidance.

Tools & Resources

University career services, LinkedIn for internships, Industry events, Company annual reports, Mentorship from industry professionals

Career Connection

Practical experience and networking are vital for understanding industry dynamics, applying theoretical knowledge, and securing pre-placement offers or direct placements after graduation.

Develop Advanced Analytical and Software Skills- (Semester 3-4)

Beyond theoretical knowledge, acquire proficiency in financial modeling and analytical software commonly used in the industry, such as advanced Excel, Python for finance, or R. Practice building valuation models, risk assessments, and portfolio simulations. This enhances your technical skill set significantly.

Tools & Resources

Advanced Excel courses, Python libraries (Pandas, NumPy, Matplotlib), R for financial analysis, Financial modeling online courses

Career Connection

These technical skills are highly sought after by employers for roles requiring data analysis, quantitative research, and financial engineering, significantly boosting your employability.

Advanced Stage

Strategic Placement Preparation- (Semester 4 (intensive focus))

Actively engage in campus placement activities, attend mock interviews, group discussions, and resume building workshops. Research target companies and roles within the financial services sector. Tailor your resume and cover letter to specific job descriptions, highlighting relevant projects and certifications.

Tools & Resources

University placement cell, Mock interview platforms, LinkedIn profile optimization guides, Company websites for job descriptions

Career Connection

Proactive and strategic placement preparation is key to securing desirable job offers from top financial institutions and achieving your career aspirations post-M.Com.

Build a Professional Network- (Throughout program, intensified in Semester 3-4)

Network actively with alumni, guest speakers, and industry professionals through LinkedIn, alumni events, and industry conferences. Seek out mentors who can provide guidance on career paths and industry insights. A strong professional network can open doors to opportunities not publicly advertised.

Tools & Resources

LinkedIn, Alumni association events, Professional networking platforms, Industry conferences and seminars

Career Connection

Networking is instrumental for career growth, mentorship, and discovering hidden job market opportunities, providing a competitive edge in the finance industry.

Refine Communication and Presentation Skills- (Throughout program, critical for Semester 4 project and interviews)

Focus on honing your written and verbal communication skills, especially important for client interactions, report writing, and presenting financial analyses. Participate in presentations, debates, and public speaking opportunities. Your Project Work presentation is a key opportunity to demonstrate these skills.

Tools & Resources

Public speaking clubs, Presentation software, Business communication workshops, Feedback from professors and peers

Career Connection

Strong communication skills are essential for all financial roles, particularly those involving client management, team leadership, or conveying complex financial information effectively to diverse audiences.

Program Structure and Curriculum

Eligibility:

  • B.Com/BBM/BBA degree of University of Mysore or any other equivalent University degree

Duration: 4 semesters / 2 years

Credits: 93 Credits

Assessment: Internal: 20%, External: 80%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
301Business Research MethodsCore4Introduction to Research, Research Design, Sampling Techniques, Data Collection Methods, Data Analysis and Interpretation, Report Writing
302Advanced Financial ManagementCore4Financial Goals and Decision Making, Capital Structure Theories, Working Capital Management, Dividend Policy Decisions, Mergers, Acquisitions and Restructuring
303Indian Financial SystemCore4Structure of Indian Financial System, Money Market Institutions, Capital Market Instruments, Financial Institutions and Services, Regulatory Framework (RBI, SEBI, IRDA)
304Managerial EconomicsSoft Core4Nature and Scope of Managerial Economics, Demand Analysis and Forecasting, Production and Cost Analysis, Pricing Decisions and Practices, Market Structures and Competition
305Quantitative Techniques for Business DecisionsSoft Core4Linear Programming, Transportation and Assignment Problems, Decision Theory and Decision Tree, Game Theory, Network Analysis (PERT/CPM)
306Open Elective 1 (e.g., Management Principles / Entrepreneurship Development / Human Resource Management)Open Elective3Fundamental management concepts, Entrepreneurial process, Human resource functions, Organizational behavior basics, Business environment

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
311Advanced Business StatisticsCore4Probability Distributions, Sampling and Estimation, Hypothesis Testing, Correlation and Regression Analysis, Time Series Analysis and Forecasting, Index Numbers
312Strategic ManagementCore4Strategic Management Process, Environmental Analysis, Strategy Formulation and Implementation, Competitive Strategies, Strategic Control and Evaluation, Corporate Governance and Ethics
313Advanced Cost and Management AccountingCore4Costing Methods and Techniques, Budgetary Control, Standard Costing and Variance Analysis, Marginal Costing and Decision Making, Responsibility Accounting, Activity Based Costing
314Direct Tax PlanningSoft Core4Basic Concepts of Income Tax, Heads of Income, Deductions from Gross Total Income, Assessment of Individuals, Tax Planning Strategies
315E-CommerceSoft Core4Introduction to E-commerce, E-commerce Business Models, E-Marketing and Advertising, E-Payment Systems, E-security and Legal Issues, Digital India initiatives
316Open Elective 2 (e.g., Retail Management / Rural Marketing / Brand Management)Open Elective3Retail formats and operations, Rural consumer behavior, Brand building and management, Marketing channels, Product life cycle

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
321Investment ManagementCore4Investment Environment and Process, Risk and Return Analysis, Equity Valuation Models, Bond Valuation and Analysis, Mutual Funds and Derivatives
322Financial DerivativesCore4Introduction to Derivatives Markets, Forwards and Futures Contracts, Options: Types, Valuation, Strategies, Swaps: Interest Rate and Currency Swaps, Hedging and Speculation with Derivatives
323International Financial ManagementCore4International Financial Environment, Foreign Exchange Markets and Rates, International Parity Relationships, Managing Foreign Exchange Exposure, International Capital Budgeting, Multinational Working Capital Management
324Security Analysis and Portfolio ManagementElective (Finance Group)4Fundamental Analysis, Technical Analysis, Efficient Market Hypothesis, Portfolio Theory and Construction, Portfolio Performance Evaluation, Capital Asset Pricing Model (CAPM)
325Insurance and Risk ManagementElective (Finance Group)4Principles of Insurance, Life Insurance Products, General Insurance Products, Risk Identification and Assessment, Risk Management Techniques, Regulatory Framework of Insurance in India
326Open Elective 3 (e.g., Financial Market Operations / Advertising and Sales Promotion / Marketing of Financial Services)Open Elective3Financial market instruments, Advertising campaign planning, Sales promotion strategies, Marketing financial products, Customer relationship management

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
331Corporate Tax Planning and ManagementCore4Corporate Tax Structure in India, Minimum Alternate Tax (MAT), Tax Planning for Business Restructuring, Tax Incentives for Businesses, Double Taxation Avoidance Agreements (DTAA)
332Goods and Services Tax (GST)Core4Overview of GST Law, Concept of Supply and Taxable Event, Input Tax Credit Mechanism, GST Registration and Returns, Assessment and Audit under GST, E-way Bills and Compliance
333Behavioral FinanceElective (Finance Group)4Introduction to Behavioral Finance, Cognitive Biases in Investment Decisions, Emotional Biases in Investing, Heuristics in Financial Decision Making, Prospect Theory, Market Anomalies and Investor Psychology
334Banking and Financial ServicesElective (Finance Group)4Commercial Banking Operations, Investment Banking and Merchant Banking, Non-Banking Financial Companies (NBFCs), Housing Finance and Microfinance, Factoring and Forfaiting, Digital Banking and Fintech Innovations
335Project Work (Dissertation)Project8Formulation of Research Problem, Literature Review, Data Collection and Methodology, Data Analysis and Interpretation, Report Writing and Presentation
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