The Master of Commerce (M.Com.) program in Banking and Finance typically covers a comprehensive syllabus that combines core concepts in commerce with specialized knowledge in banking and finance. The syllabus includes topics such as financial management, international banking, risk management, financial markets, investment analysis, and regulatory frameworks. Students study financial accounting, economics, and corporate finance, with a focus on banking operations, financial institutions, and monetary policy. They also explore emerging trends in fintech, financial derivatives, and portfolio management. Additionally, the program emphasizes research methodologies and often includes a dissertation or project component to encourage practical application of knowledge.
1st Year OR 1st & 2nd Semester Syllabus of Master Of Commerce (M.Com.) Banking And Finance
S.no | Subjects |
1 | Banking Law and Practices |
2 | Commercial Bank Management |
3 | Investment Management Analysis |
4 | Financial Risk Management |
5 | Cooperative Banking System |
6 | Accounting and Auditing of Banking |
2nd Year OR 3rd & 4th Semester Syllabus of Master Of Commerce (M.Com.) Banking And Finance
S.No | Subjects |
1 | Commercial Bank Management |
2 | Financial Markets |
3 | Treasury Management |
4 | International Finance |
5 | Auditing of Banking Sector |
6 | Investment Management |
7 | Currency Derivatives |