- We provide a wide range of Corporate Finance services to support your business in managing funding, capital structuring, and financial planning. Our advisory is designed to help businesses raise capital, optimize borrowing, and ensure regulatory compliance, enabling strategic financial growth and risk management.
Preparation of Project Reports
Detailed and customized project reports covering technical, financial, and economic feasibility for banks, investors, or regulatory submissions.
Preparation of CMA Data for Bank Loans
Preparation of Credit Monitoring Arrangement (CMA) data for submission to banks for term loans and working capital finance, ensuring RBI format compliance.
Private Placement of Shares
Advisory and compliance for raising equity through private placement including drafting offer letters, shareholder approvals, and ROC filings.
Inter-Corporate Deposits (ICD)
Advisory on structuring, documentation, and statutory compliances for ICDs between group entities or associate concerns.
Working Capital & Term Loan Advisory
End-to-end assistance in arranging working capital limits, cash credit, overdraft, bill discounting, and term loans from financial institutions.
External Commercial Borrowings (ECBs)
Advisory for raising foreign currency loans under ECB routes, including structuring, RBI approvals, and compliance under FEMA regulations.
Raising Finance through NBFCs or Private Equity
Assistance in identifying and negotiating with NBFCs, angel investors, and private equity funds for business expansion.
Preparation of Business Plans and Pitch Decks
Designing effective investor presentations, business models, and growth strategies tailored to fundraising and stakeholder communication.
Loan Restructuring and One-Time Settlement (OTS)
Strategic advice and representation before banks for debt restructuring, revival packages, and settlement of NPA accounts.
Financial Due Diligence
In-depth review of financial records for M&A, investment, or restructuring purposes to uncover risks, inefficiencies, and hidden liabilities.
Cash Flow and Fund Flow Management
Preparation and analysis of fund flow and cash flow statements to improve liquidity forecasting and internal cash control mechanisms.
Capital Structuring and Financial Re-engineering
Advising businesses on optimal capital mix, infusion of equity/debt, and restructuring to maximize shareholder value.
Assistance in Credit Rating Process
Liaising with rating agencies and preparing financial data, projections, and business insights for better credit profiling and ratings.
Preparation of Projections and Financial Modelling
Building detailed financial models including revenue forecasts, cost assumptions, sensitivity analysis, and scenario-based planning.
Statutory and Regulatory Compliance for Borrowings
Ensuring all borrowings are in compliance with Companies Act, FEMA, RBI guidelines, and SEBI regulations.
Liaison with Banks, NBFCs, FIs, and Investors
Complete support for preparing documentation, responding to queries, and facilitating meetings with lenders and investors.