
Description:
- Lead end-to-end IPO process, including drafting, vetting, and filing of DRHP/RHP with Securities and Exchange Board of India (SEBI) and stock exchanges.
- Ensure compliance with SEBI ICDR Regulations, Listing Obligations (LODR), and stock exchange requirements.
- Coordinate with merchant bankers, legal counsels, registrars, auditors, and regulators for IPO execution.
- Manage pre-IPO structuring, due diligence, corporate restructuring, and regulatory approvals.
- Oversee post-listing compliances, including disclosures, corporate governance, and continuous listing requirements.
- Ensure compliance with import/export laws, DGFT regulations, customs, and trade policies.
- Manage Advance Authorisations, EPCG schemes, and export incentive structures.
- Handle FEMA compliances, including foreign exchange transactions and RBI reporting.
- Manage Overseas Direct Investment (ODI) structures, approvals, filings, and ongoing compliance.
- Ensure compliance with Companies Act, 2013, including board governance and statutory filings.
- Draft, review, and vet IPO documentation, contracts, and legal agreements.
- Manage regulatory interactions with SEBI, stock exchanges, RBI, DGFT, and other authorities.
- Track regulatory changes and ensure timely implementation across the organisation.
Desired Profile:
- 8 - 10 years of experience in legal, regulatory, and compliance roles.
- Must have hands-on experience in filing IPOs (DRHP/RHP) and managing SEBI approvals.
- Strong expertise in capital markets, SEBI regulations, and listing compliances.
- Proven experience in export-import compliance, DGFT regulations, and incentive schemes.
- Hands-on experience in FEMA and ODI structures and filings.
- Experience in manufacturing, export-oriented, or pre-IPO / listed companies preferred.
- Ability to independently manage regulators, advisors, and senior stakeholders.
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