Our Regulatory & Compliance practice helps clients navigate support in areas such as:
Insolvency & Bankruptcy: Expertise in the Insolvency and Bankruptcy Code (IBC) processes – we represent creditors, investors, and debtors in NCLT proceedings and related appellate litigation.
Government & Administrative Litigation: Handling writ petitions and other legal challenges against regulatory or government action. Our team has successfully challenged and defended clients in constitutional matters before High Courts and the Supreme Court.
Sectoral Regulatory Compliance: Guiding companies in heavily regulated sectors (such as banking and financial services) to comply with licensing requirements, sector-specific guidelines, and regulatory filings.
Foreign Exchange & Securities Regulations: Ensuring compliance with FEMA (Foreign Exchange Management Act) rules for cross-border transactions, and advising on securities laws and listing regulations for companies engaging in capital markets activities, as well as handling foreign exchange related litigation in courts