Ensuring compliance with securities laws is crucial for companies listed on stock exchanges. Our dedicated team offers comprehensive services to meet the requirements of SEBI (LODR) Regulations, 2015 and SEBI (Prohibition of Insider Trading) Regulations, 2015, helping businesses navigate complex regulatory landscapes with ease and confidence.
Regulatory Compliance & Advisory
Assistance with compliance under SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015
Regular advisory on disclosure and reporting obligations
Periodic filing assistance with stock exchanges and SEBI
Corporate governance advisory, including compliance with board and committee requirements
Disclosure & Investor Relations
Ensuring timely disclosures of financial and material events
Managing investor grievances and reporting mechanisms
Drafting and filing mandatory disclosures and reports
Assistance with investor communications and updates
Related Party Transactions (RPT) Compliance
Identification of related parties and adherence to SEBI governance norms
Drafting and implementation of RPT policies
Obtaining necessary approvals from the Board, Audit Committee, and Shareholders
Half-yearly disclosure and compliance filings for RPTs
Monitoring RPTs to ensure they meet arm’s length standards
Assistance with legal representation in case of regulatory scrutiny
Reviewing RPTs in line with Proxy Advisories’ governance norms
Quarterly & Annual Compliance Filings
Preparation and submission of compliance certificates
Coordination with auditors for due diligence and audit requirements
Monitoring filing deadlines and ensuring timely submissions
Secretarial & Compliance Audit
Annual Secretarial Audit as mandated by SEBI regulations
Compliance certification for listed entities
Periodic review of secretarial records and disclosures
Assistance with corporate governance compliance audits
Corporate Governance Advisory
Board and committee structuring to meet SEBI regulations
Policy drafting, including Whistleblower and Risk Management policies
Governance audits to ensure adherence to regulatory standards
SEBI & Stock Exchange Liaison
Representation before SEBI and stock exchanges for waiver of penalties
Drafting and filing applications for exemptions or approvals
Handling regulatory inquiries and compliance matters
Mergers, Acquisitions & Delisting Compliance
Compliance with SEBI LODR during mergers and acquisitions
Assistance with obtaining regulatory approvals for voluntary or compulsory delisting
Post-transaction compliance and reporting
Insider Trading Policy Drafting & Implementation
Drafting comprehensive Insider Trading Policies and Code of Conduct
Implementation of Fair Disclosure Policies
Guidance on compliance with Prohibition of Insider Trading (PIT) regulations
Structured Digital Database (SDD) Maintenance
Implementation and maintenance of an SDD as per SEBI norms
Periodic audits and compliance checks
Ensuring the confidentiality and accuracy of trading data
Insider Trading Compliance Monitoring & Reporting
Monitoring disclosures from designated persons and key personnel
Filing periodic reports of trades to SEBI and stock exchanges
Assisting in setting up a robust whistleblower mechanism
Managing insider trading investigations and inquiries
Trading Window & Pre-Clearance Mechanism
Setting up and monitoring trading windows for employees and insiders
Managing the pre-clearance process for designated persons
Developing a structured digital database (SDD) for tracking insider trades
Training & Awareness for Employees & Insiders
Conducting training sessions on insider trading regulations
Educating employees on handling material non-public information (MNPI)
Providing guidance on maintaining compliance with PIT regulations
Whistleblower & Investigation Support
Establishing internal whistleblower mechanisms for reporting unethical practices
Legal representation and support in insider trading investigations
Preparing responses and documentation for SEBI inquiries
Why choose us
Expertise and Experience
Our team of skilled professionals brings years of experience in delivering top-notch audit and consulting services
Tailored Solutions
We understand that every business is unique, and we offer customized services to meet your specific requirements
Regulatory Compliance
We ensure that your business complies with all applicable laws and regulations, minimizing risks and penalties.
Timely Delivery
Our efficient processes ensure timely completion of services without compromising on quality.
Client-Centric Approach
We prioritize building long-term relationships by offering exceptional service and personalized support.
Financial Planning
Our experts assist in strategic financial planning, helping you achieve both short-term and long-term business goals.