Master of Finance and Control. (MFC)

Program Overview

The Master of Finance and Control (MFC) is a two-year full-time postgraduate program focused on developing advanced financial and managerial skills to prepare future leaders in the world of finance. Designed to bridge academic concepts with real-world financial practices, the MFC program equips students with in-depth knowledge of financial markets, investment analysis, corporate finance, and risk management.

This specialized program is ideal for students aspiring to pursue dynamic careers in financial services, corporate finance, investment banking, and strategic financial planning.


Why Choose MFC?

  • Comprehensive curriculum combining finance, economics, law, and management
  • Industry-relevant training in accounting, investment analysis, risk management, and fintech
  • Expert faculty from academia and industry
  • Internships, live projects, and case studies with leading financial institutions
  • Prepares graduates for high-growth careers in corporate finance, capital markets, banking, and consulting

Program Duration & Structure

📘 Duration: 2 Years (4 Semesters)
🎓 Format: Full-Time
📍 Mode: On-campus (hybrid/online options may be available)

Each semester includes classroom instruction, practical assignments, financial modeling labs, industry interactions, and a summer internship.


Eligibility Criteria

  • Bachelor’s degree (in any discipline) from a recognized university
  • Minimum 50% aggregate marks (varies by institution)
  • Admission may be based on entrance exams (e.g., CAT, MAT, university-specific tests) and personal interviews
  • Background in commerce, business, economics, or mathematics is preferred but not mandatory

Key Subjects & Curriculum Highlights

The MFC program offers a balanced mix of theoretical knowledge and applied financial skills. Core areas of study include:

  • Financial Accounting & Reporting
  • Corporate Finance
  • Security Analysis & Portfolio Management
  • Financial Markets & Institutions
  • Financial Derivatives
  • Risk Management & Insurance
  • International Finance
  • Business Taxation & Legal Environment
  • Investment Banking & Mergers
  • Financial Modeling & Valuation
  • Strategic Financial Management
  • Research Methodology & Project Work
  • Summer Internship & Final Dissertation

Career Opportunities

Graduates of the MFC program are equipped to take on key roles in:

  • Corporate Finance & Financial Planning
  • Investment Banking & Equity Research
  • Asset Management & Mutual Funds
  • Financial Consulting & Advisory Services
  • Risk Analysis & Credit Rating
  • Insurance & Actuarial Services
  • Government & Regulatory Bodies
  • FinTech Startups & Analytics Firms

Popular Job Roles Include:

  • Financial Analyst
  • Investment Banker
  • Risk Manager
  • Treasury Analyst
  • Corporate Finance Executive
  • Portfolio Manager
  • Financial Planner
  • Credit Analyst
  • Business Consultant

Top Recruiters

  • Banks and NBFCs (HDFC Bank, ICICI, Axis, SBI Capital)
  • Financial Services Firms (Morningstar, CRISIL, Moody’s, Deloitte)
  • Investment Banks and AMCs (Goldman Sachs, Kotak, Motilal Oswal)
  • FinTech Companies
  • Government Finance Departments & PSUs

Program Advantages

  • Specialized financial focus, unlike general MBA programs
  • Emphasis on real-time market analysis, simulations, and case-based learning
  • Strong foundation for certifications like CFA, FRM, CFP, and CA
  • Excellent preparation for research or Ph.D. in finance and economics
  • Network with finance professionals and alumni in top-tier firms