Governance, regulatory, and execution support structured for live corporate mandates.
The service system is designed around governance intensity, regulatory touchpoints, event sensitivity, and the operating reality of boards, promoters, internal CS teams, and finance leadership.
Regulatory Matrix
Coordinated touchpoints across governance frameworks.
MCA
SEBI
FEMA
CSR
NCLT
RBI
Priority workstreams for listed, board-led, and execution-sensitive mandates.
Listed Company Compliance
Boardroom-grade governance, disclosure, and stock exchange compliance support for listed entities operating under SEBI LODR, Companies Act, stock exchange, PIT, and SAST-linked compliance expectations.
SEBI LODR Compliance
Structured advisory and execution support for listed entities managing SEBI LODR governance, disclosure, board, committee, financial result, related-party, website, and stock exchange compliance requirements.
Secretarial Audit
Independent secretarial audit support for companies requiring governance, statutory, board process, filing, register, disclosure, and compliance review under Section 204 of the Companies Act, 2013.
Annual Secretarial Compliance Report
Law-backed annual secretarial compliance report support for listed entities under SEBI LODR Regulation 24A, covering compliance review, stock exchange submission readiness, observation mapping, and governance control improvement.
Entity Formation & Setup
Entity formation, governance structuring, incorporation execution and foundational compliance setup support for businesses and promoter groups.
Company Incorporation
Strategic company incorporation and governance setup support for startups, promoters, founders, investors and business groups under the Companies Act, 2013.
LLP Incorporation
Structured LLP incorporation and governance setup support for professional firms, startups, consulting businesses and partnership-driven ventures under the LLP Act, 2008.
Annual ROC Filing
Annual ROC filing and corporate compliance management support covering financial statement filings, annual returns, governance documentation and recurring Companies Act compliance obligations.
XBRL Filing
Structured financial reporting and XBRL filing support covering applicability assessment, taxonomy alignment, disclosure mapping and MCA compliance requirements.
Director KYC & DIN Compliance
Director identity compliance and DIN governance support covering DIR-3 KYC filings, DIN status management, director compliance monitoring and MCA governance continuity requirements.
Registered Office Change
Registered office change and corporate transition support covering statutory approvals, ROC filing coordination, jurisdictional considerations and governance documentation under the Companies Act, 2013.
MOA & AOA Alteration
Corporate constitutional restructuring and governance amendment support covering MOA alteration, AOA amendments, special resolutions, ROC filings and shareholder governance changes under the Companies Act, 2013.
Share Transfer & Transmission
Share transfer, transmission and ownership record compliance support covering governance approvals, statutory documentation, share register updates and Companies Act compliance.
Charge Creation & Satisfaction
ROC filing and compliance support for creation, modification, and satisfaction of charges under the Companies Act.
Strike Off / Closure
Company closure and strike off support through board approvals, ROC filing, documentation, and compliance closure.
Governance & Listed Company Compliance
Board governance, SEBI compliance, recurring listed company obligations, disclosure systems, governance controls and regulatory execution support.
Listed Company Compliance
Boardroom-grade governance, disclosure, and stock exchange compliance support for listed entities operating under SEBI LODR, Companies Act, stock exchange, PIT, and SAST-linked compliance expectations.
SEBI LODR Compliance
Structured advisory and execution support for listed entities managing SEBI LODR governance, disclosure, board, committee, financial result, related-party, website, and stock exchange compliance requirements.
Secretarial Audit
Independent secretarial audit support for companies requiring governance, statutory, board process, filing, register, disclosure, and compliance review under Section 204 of the Companies Act, 2013.
Annual Secretarial Compliance Report
Law-backed annual secretarial compliance report support for listed entities under SEBI LODR Regulation 24A, covering compliance review, stock exchange submission readiness, observation mapping, and governance control improvement.
Insider Trading (PIT) Compliance
Comprehensive SEBI Prohibition of Insider Trading (PIT) compliance advisory covering UPSI governance, Structured Digital Database (SDD), trading window controls, designated person compliance, disclosures, codes, monitoring mechanisms, and regulatory risk management.
SAST / Takeover Compliance
Comprehensive advisory and compliance support under the SEBI (Substantial Acquisition of Shares and Takeovers) Regulations, 2011 covering acquisition thresholds, open offer obligations, disclosure requirements, control acquisitions, promoter transactions, takeover structuring, and regulatory filings.
Corporate Governance Advisory
Board-level governance advisory covering governance framework design, board effectiveness, committee governance, director responsibilities, governance controls, SEBI and Companies Act governance requirements, risk oversight, ESG governance, and governance maturity enhancement.
Stock Exchange Compliance
End-to-end BSE and NSE compliance support for listed entities covering periodic filings, corporate announcements, Regulation 30 disclosures, board outcome filings, exchange clarifications, investor grievance reporting, XBRL submissions, and listed entity compliance calendar management.
Capital Market Transactions
Strategic advisory and execution support for rights issues, preferential allotments, buybacks, ESOP structures and capital market transactions.
Rights Issue Advisory
End-to-end rights issue advisory covering transaction structuring, board and shareholder approvals, SEBI and stock exchange compliance, rights entitlement framework, issue execution, allotment support, and post-issue regulatory compliance.
Bonus Issue Advisory
End-to-end bonus issue advisory covering capitalization of reserves, transaction structuring, board and shareholder approvals, stock exchange compliance, corporate action execution, allotment support, listing approvals, and post-issue regulatory compliance.
Preferential Allotment Advisory
End-to-end preferential allotment advisory covering transaction structuring, investor participation, pricing compliance, valuation support, shareholder approvals, stock exchange approvals, allotment execution, lock-in requirements, and post-issue regulatory compliance.
Buyback Advisory
End-to-end buyback transaction advisory covering feasibility assessment, route selection, board and shareholder approvals, SEBI Buyback Regulations compliance, merchant banker coordination, tender offer and open market execution, extinguishment, and post-buyback regulatory compliance.
ESOP Advisory
End-to-end ESOP advisory covering scheme design, governance framework, board and shareholder approvals, compensation committee support, employee share-based incentive structures, vesting administration, compliance management, and long-term equity compensation strategy.
FEMA & Cross-Border Transactions
Foreign investment, FEMA reporting, cross-border structuring, overseas investment and RBI compliance advisory support.
FEMA Compliance Advisory
Comprehensive FEMA advisory covering cross-border investments, inbound and outbound transactions, RBI reporting, foreign ownership structures, FEMA due diligence, regulatory compliance management, and international transaction support under India's foreign exchange framework.
FDI Advisory
End-to-end foreign direct investment advisory covering investment structuring, sectoral eligibility, foreign ownership analysis, startup fundraising, FEMA compliance, valuation support, regulatory strategy, and cross-border transaction execution for investments into India.
ODI Advisory
End-to-end advisory for Overseas Direct Investment by Indian entities, promoters and resident individuals under FEMA overseas investment framework, including structuring, documentation, AD bank coordination, RBI reporting and post-investment compliance.
FC-GPR Filing
End-to-end FEMA compliance support for FC-GPR reporting, foreign investment documentation, valuation compliance and RBI reporting through FIRMS portal.
FC-TRS Filing
End-to-end FEMA compliance support for FC-TRS reporting, share transfer transactions involving residents and non-residents, valuation compliance, RBI reporting and authorised dealer coordination.
Corporate Advisory & Governance
Strategic restructuring, due diligence, tribunal matters, governance advisory and corporate transaction support.
Board & General Meeting Support
Structured support for board meetings, shareholder meetings, notices, agendas, resolutions, minutes, and statutory governance documentation.
Compliance Calendar Management
Design, monitoring, and management of compliance calendars covering Companies Act obligations, governance milestones, board activities, recurring filings, and regulatory deadlines.
Secretarial Retainer & Compliance Management
Ongoing secretarial, governance, compliance calendar, board support, and regulatory management services for companies seeking continuous compliance oversight.
Secretarial Function Outsourcing
Outsourced company secretarial function covering compliance management, governance administration, board support, statutory records, and ongoing regulatory coordination.
Statutory Registers & Records Management
Maintenance, review, reconstruction, and governance support for statutory registers, records, resolutions, and secretarial documentation under the Companies Act.
Corporate Compliance Audit
Independent corporate compliance review, governance gap analysis, statutory records audit, and management-level compliance health assessment.
Regulatory Due Diligence
Comprehensive review of regulatory compliance, governance records, ROC filings, statutory documentation, and legal readiness for transactions, investments, and strategic events.
Investor & Board Governance Support
Governance framework design, board effectiveness support, investor governance readiness, committee structuring, reporting frameworks, and board-level governance advisory.
Dormant Company Compliance
Advisory and compliance support for obtaining, maintaining, reviewing, and reactivating dormant company status under the Companies Act.
Corporate Actions & Governance Support
Advisory and execution support for director changes, KMP appointments, committee reconstitution, share capital actions, governance approvals, and event-based corporate actions.
CSR Advisory
Comprehensive Corporate Social Responsibility advisory covering applicability assessment, CSR governance, policy framework, project structuring, committee support, reporting and ongoing compliance under Section 135 of the Companies Act, 2013.
Due Diligence
Comprehensive legal, secretarial, corporate, regulatory and FEMA due diligence support for investments, acquisitions, strategic transactions, restructuring exercises and transaction readiness assessments.
Corporate Restructuring
Strategic advisory and transaction execution support for mergers, demergers, amalgamations, schemes of arrangement, capital restructuring, business transfers and group reorganisation initiatives.
NCLT Representation
Strategic advisory, documentation support and representation coordination for corporate, shareholder, restructuring and company law matters before the National Company Law Tribunal (NCLT).
Winding Up & Liquidation Advisory
Strategic advisory and compliance support for winding up, liquidation readiness, stakeholder coordination, and closure governance processes.
Mandates are framed around entity profile, timing, records, and regulatory touchpoints.
Understand the mandate and who is driving the decision.
Review records, filings, approvals, and current governance posture.
Identify the main regulators, counterparties, and timing constraints.
Define whether the work is recurring support or event-based execution.
Route a governance or regulatory mandate for review.
If the matter involves board process, capital actions, recurring compliance discipline, or multi-regulatory coordination, the scope can be framed through the inquiry desk.
