1.Handling compliance work for Capital Markets, Mergers & Acquisitions and advisory mandates.
2.Drafting, reviewing and vetting various documents and agreements such as NDA's, Engagement letters, agreements, other regulatory documents etc.
3.Good knowledge of the Securities Laws, SEBI CDR, Companies Act, 2013 and Rules made thereunder and other Corporate laws. Updating the team with amendments / developments.
4.Experience in handling of SEBI inspections independently.
5.Responsible for handling legal issues/aspects for the Investment Banking vertical
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