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M-COM in Financial Analysis at University of Rajasthan

University of Rajasthan stands as a premier State Public University in Jaipur, established in 1947. Renowned for its academic strength, it offers over 200 diverse courses. The university, spanning 345.38 acres, boasts a vibrant campus ecosystem and a 37:1 student-faculty ratio, fostering comprehensive learning.

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Jaipur, Rajasthan

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About the Specialization

What is Financial Analysis at University of Rajasthan Jaipur?

This Financial Analysis program at the University of Rajasthan focuses on equipping students with advanced skills in financial decision-making, investment strategies, and risk management. It delves into the intricate workings of capital markets, corporate finance, and global financial operations, highly relevant in India''''s rapidly evolving financial sector. The curriculum emphasizes analytical rigor and practical application, preparing graduates for demanding roles in the Indian financial industry.

Who Should Apply?

This program is ideal for commerce and economics graduates seeking to build a robust career in finance. It caters to freshers aiming for entry-level financial analyst roles and working professionals looking to specialize or enhance their financial acumen. Individuals with a strong aptitude for numbers, critical thinking, and a keen interest in financial markets will find this specialization particularly rewarding.

Why Choose This Course?

Graduates of this program can expect promising career paths in investment banking, equity research, portfolio management, and corporate finance within India. Entry-level salaries typically range from INR 4-7 lakhs per annum, with experienced professionals earning significantly higher. The program aligns well with preparatory requirements for professional certifications like CFA, enhancing growth trajectories in Indian and multinational corporations operating in India.

Student Success Practices

Foundation Stage

Master Core Financial Concepts- (Semester 1-2)

Dedicate significant time to thoroughly understand foundational subjects like Financial Management, Managerial Economics, and Advanced Business Statistics. These subjects form the bedrock for all advanced financial analysis. Utilize university library resources, online courses like NPTEL for economics/statistics, and peer study groups to solidify comprehension.

Tools & Resources

University Library, NPTEL courses, Study groups

Career Connection

A strong conceptual base ensures you can grasp complex financial models later, crucial for analyst roles.

Develop Data Analysis Proficiency- (Semester 1-2)

Beyond theoretical computer applications, actively practice data analysis using spreadsheets (MS Excel) for financial data. Learn basic statistical functions, pivot tables, and visualization techniques. Consider exploring introductory modules on R or Python for more advanced data handling if time permits.

Tools & Resources

MS Excel, Online Excel tutorials (e.g., Coursera, Udemy), GeeksforGeeks (for Python/R basics)

Career Connection

Analytical tools proficiency is a non-negotiable skill for financial analysts in the Indian market.

Cultivate Business Awareness- (Semester 1-2)

Beyond academics, regularly read financial newspapers (Economic Times, Business Standard) and magazines to stay updated on Indian and global economic trends, corporate news, and market movements. Participate in university business quizzes or economic forums to broaden your perspective.

Tools & Resources

Economic Times, Business Standard, Mint, University clubs

Career Connection

Contextual business understanding is vital for interpreting financial data and making informed recommendations.

Intermediate Stage

Build Investment & Security Analysis Skills- (Semester 3)

Deep dive into Investment Management and Security Analysis. Practice case studies involving equity and bond valuation. Use virtual trading platforms to simulate investment decisions and understand market dynamics without real financial risk. Analyze annual reports of Indian companies.

Tools & Resources

Moneycontrol.com, Screener.in (for company analysis), Virtual trading apps

Career Connection

These skills are directly applicable to roles in equity research, portfolio management, and investment advisory.

Engage with Financial Derivatives- (Semester 3-4)

Thoroughly understand financial derivatives and their applications, especially hedging strategies. Work through numerical problems and real-world scenarios. Seek out webinars or introductory workshops on options, futures, and swaps offered by financial institutions or online platforms.

Tools & Resources

NSE Academy resources, SEBI financial education materials, YouTube tutorials

Career Connection

Proficiency in derivatives is highly valued in risk management, treasury, and trading roles in Indian financial markets.

Network with Industry Professionals- (Semester 3-4)

Actively participate in departmental seminars, industry conclaves, and alumni interaction events. Connect with professionals on LinkedIn, seeking informational interviews to understand various career paths and gain insights into the Indian financial sector. This helps identify internship opportunities.

Tools & Resources

LinkedIn, University alumni network events, Industry workshops

Career Connection

Networking opens doors to internships, mentorship, and future job opportunities in competitive Indian finance.

Advanced Stage

Undertake Live Projects or Dissertation- (Semester 4)

For subjects like Project Planning & Control or if a dissertation option is available, choose a topic relevant to Indian financial markets. Apply econometric techniques learned in Financial Econometrics. This provides hands-on experience and a strong talking point for placements. Seek faculty guidance for project selection and execution.

Tools & Resources

Statistical software (R, Python, EViews), Company databases (CMIE Prowess), Faculty mentors

Career Connection

Practical project experience demonstrates analytical capability and industry relevance to potential employers.

Prepare for Placements and Certifications- (Semester 4)

Start preparing for campus placements by refining your resume, practicing aptitude tests, and excelling in group discussions and mock interviews. Simultaneously, explore preparatory materials for professional certifications like CFA (Chartered Financial Analyst) or NISM (National Institute of Securities Markets) modules, highly regarded in India.

Tools & Resources

Placement cell services, Online aptitude test platforms, CFA/NISM study materials

Career Connection

Holistic preparation ensures you are job-ready and have credentials that enhance your marketability for top finance roles.

Develop Soft Skills & Leadership- (Semester 3-4)

Actively participate in group presentations, lead team projects, and engage in debates to enhance communication, presentation, and leadership skills. These soft skills are crucial for career progression in Indian corporate settings, complementing your technical expertise.

Tools & Resources

Public speaking clubs, Student leadership roles, Workshop on soft skills

Career Connection

Employers in India value well-rounded candidates who can articulate ideas and lead teams effectively, crucial for senior financial positions.

Program Structure and Curriculum

Eligibility:

  • Bachelor''''s degree (B.Com / BBA / BA with Commerce or Economics) from a recognized university with at least 48% marks in aggregate.

Duration: 2 years (4 semesters)

Credits: 80 Credits

Assessment: Internal: 30%, External: 70%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
M.Com 101Organizational Theory & BehaviourCore4Organizational foundations, Individual behavior and motivation, Group dynamics and team building, Leadership theories and styles, Organizational change and development, Conflict management
M.Com 102Managerial EconomicsCore4Demand analysis and forecasting, Production and cost analysis, Pricing strategies and decisions, Market structure and competition, Profit management, Capital budgeting decisions
M.Com 103Advanced Business StatisticsCore4Probability theory and distributions, Statistical inference and hypothesis testing, Correlation and regression analysis, Time series analysis, Index numbers, Decision theory
M.Com 104Financial Management & ControlCore4Financial management goals and functions, Capital budgeting techniques, Cost of capital, Working capital management basics, Dividend policy, Financial planning and forecasting
M.Com 105Research Methodology in CommerceCore4Research design and types, Data collection methods, Sampling techniques, Data processing and analysis, Report writing and presentation, Ethics in business research

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
M.Com 201Advanced AccountingCore4Accounting standards (Ind AS/IFRS), Amalgamation, absorption and reconstruction, Consolidated financial statements, Valuation of shares and goodwill, Human resource accounting, Social responsibility accounting
M.Com 202Marketing ManagementCore4Marketing concepts and environment, Market segmentation, targeting, positioning, Product and pricing strategies, Promotion and advertising, Distribution channels and logistics, Consumer behavior
M.Com 203Human Resource ManagementCore4HRM functions and policies, HR planning and recruitment, Training and development, Performance appraisal and compensation, Industrial relations, Employee separation
M.Com 204Business EnvironmentCore4Economic environment in India, Political and legal environment, Socio-cultural and technological environment, Global business environment, Government policies and reforms, Corporate social responsibility
M.Com 205Computer Applications in BusinessCore4MS Office for business operations, Data analysis with spreadsheets (Excel), Database management systems concepts, Internet and e-commerce applications, Business analytics tools, Cyber security basics

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
M.Com 301DInvestment ManagementElective (Financial Management & Control Group)4Investment avenues and instruments, Risk and return analysis, Portfolio theories and management, Equity valuation models, Bond valuation and analysis, Mutual funds and REITs
M.Com 302DSecurity AnalysisElective (Financial Management & Control Group)4Fundamental analysis (economic, industry, company), Technical analysis (charts, indicators), Efficient Market Hypothesis (EMH), Derivatives markets (options, futures), Valuation of options and futures, Behavioral finance in security analysis
M.Com 303DInternational Financial ManagementElective (Financial Management & Control Group)4Foreign exchange markets and operations, Exchange rate determination and forecasting, Managing foreign exchange exposure (hedging), International capital budgeting, Multinational working capital management, International sources of finance
M.Com 304DFinancial DerivativesElective (Financial Management & Control Group)4Introduction to derivatives markets, Forward and futures contracts, Options: types, strategies, valuation, Swaps: interest rate, currency, Hedging, speculation, and arbitrage with derivatives, Credit derivatives
M.Com 305DProject Planning & ControlElective (Financial Management & Control Group)4Project identification and formulation, Project appraisal techniques, Sources and methods of project financing, Project implementation and monitoring, Risk analysis in projects, Project control and evaluation

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
M.Com 401DWorking Capital ManagementElective (Financial Management & Control Group)4Concepts and determinants of working capital, Management of cash and marketable securities, Receivables management, Inventory management techniques, Short-term financing sources, Working capital forecasting and optimization
M.Com 402DCorporate Financial ReportingElective (Financial Management & Control Group)4Framework of corporate financial reporting, Indian Accounting Standards (Ind AS), International Financial Reporting Standards (IFRS), Segment reporting and interim reporting, Corporate governance and reporting, Value-added reporting and sustainability reporting
M.Com 403DStrategic Financial ManagementElective (Financial Management & Control Group)4Strategic decision making in finance, Value-based management (VBM), Mergers, acquisitions, and corporate restructuring, Risk management in strategic finance, Financial distress and corporate turnaround, Behavioral finance and strategic choices
M.Com 404DFinancial ServicesElective (Financial Management & Control Group)4Overview of financial services in India, Merchant banking and issue management, Leasing and hire purchase, Venture capital and private equity, Credit rating agencies and their role, Factoring, forfeiting, and housing finance
M.Com 405DFinancial EconometricsElective (Financial Management & Control Group)4Basic econometric models (OLS), Time series analysis in finance, Modeling financial market volatility (ARCH/GARCH), Panel data analysis in finance, Event studies and financial forecasting, Applications of econometrics in asset pricing
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