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Qualification: CS (Member of ICSI)
Experience: Minimum 3 years of post-qualification experience
Key Responsibilities:
- Ensure statutory compliance under the Companies Act, FEMA, and SEBI regulations.
- Handle ROC filings, maintenance of statutory registers, and preparation of board and shareholder meeting documents.
- Provide corporate advisory on company law matters, governance practices, and regulatory changes.
- Support corporate restructuring, M&A, and transaction documentation.
- Liaise with regulators such as MCA, RBI, SEBI, and Stock Exchanges for filings and approvals.
- Review and draft resolutions, agreements, and other legal documentation.
- Ensure compliance for Foreign Direct Investment (FDI), Overseas Direct Investment (ODI), and FEMA reporting.
- Partner with finance, legal, and compliance teams to maintain corporate integrity and governance standards.
- Keep abreast of evolving corporate laws and advise management or clients on emerging compliance requirements.
Key Skills & Competencies:
- Strong knowledge of Company Law, FEMA, and SEBI regulations.
- Proficiency in MCA filings, board documentation, and regulatory correspondences.
- Excellent communication, drafting, and analytical skills.
- Strong attention to detail and ability to manage multiple assignments simultaneously.
- Client-oriented approach with strong professional ethics.
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