Our firm provides expert advisory and compliance services under the Foreign Exchange Management Act (FEMA), 1999, and Securities Laws, ensuring that businesses seamlessly manage cross-border transactions, foreign investments, and capital market operations while complying with regulatory standards prescribed by the Reserve Bank of India (RBI), Ministry of Finance, and Securities and Exchange Board of India (SEBI).
Through our FEMA Advisory Services, we assist clients in handling inbound and outbound investments, overseas direct investments (ODI), external commercial borrowings (ECB), foreign direct investment (FDI) compliance, and liberalized remittance schemes. We ensure timely reporting and filing of FEMA-related returns like FC-GPR, FC-TRS, FLA, and ODI, and manage RBI approvals in complex transactions. Our expertise also includes advisory for foreign collaborations, share allotments, and repatriation of funds in compliance with FEMA and RBI regulations.
Under Securities Laws, the firm provides comprehensive consultancy covering SEBI Regulations, Listing Obligations and Disclosure Requirements (LODR), Insider Trading Regulations, and Takeover Codes. We advise listed and unlisted entities on public offerings, private placements, ESOPs, preferential issues, and delisting procedures. Our professionals assist in ensuring compliance with stock exchange requirements, enhancing corporate governance, and protecting stakeholder interests.
We combine technical acumen with strategic perspective to help organizations achieve regulatory clarity, safeguard investments, and maintain the highest standards of compliance in India’s dynamic financial ecosystem.
