Corporate training programme

SEBI LODR & Capital Market Reforms: Compliance and Governance Excellence

SSPL offers specialized training programmes designed to build a comprehensive understanding of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 and related capital market reforms. With regulatory expectations evolving rapidly, this programme equips organisations to identify compliance gaps, interpret amendments with clarity, and strengthen governance frameworks.

Introduction

Navigate the SEBI LODR landscape with confidence and precision

SSPL offers specialized training programmes designed to build a comprehensive understanding of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 and related capital market reforms. With regulatory expectations evolving rapidly, this programme equips organisations to identify compliance gaps, interpret amendments with clarity, and strengthen governance frameworks. Through a blend of regulatory insights, case studies, and practical implementation strategies, participants will gain the tools to navigate the SEBI LODR landscape with confidence and precision.

 

Anchored in practical insight and excellence, SSPL stands as a trusted partner for organizations seeking to strengthen governance and compliance capabilities in an evolving regulatory landscape.

Programme objectives

What participants will walk away with

1

Deepen participants’ understanding of SEBI (LODR) Regulations and their practical implications for listed entities.

 

2

Identify and address commonly observed instances of non-compliance under SEBI (LODR) and allied SEBI regulations.

 

3

Provide a structured overview of the regulatory framework governing listed companies in the capital markets.

 

4

Analyse recent amendments to SEBI (LODR) and their impact on corporate operations, disclosures, and governance.

 

5

Equip participants to proactively navigate regulatory changes and align with emerging best practices.

 

Detailed programme coverage

Three modules, from compliance gaps to strategic implications

1

Common Non-Compliances under SEBI (LODR)

2

Understanding the Regulatory Framework

3

Latest Amendments & Strategic Implications

WHO SHOULD ATTEND

Built for the people who own listed-entity compliance and governance outcomes

This programme is tailored for:

Company Secretaries, Compliance Officers, and Legal Teams of listed entities.
Finance Heads, and Corporate Governance professionals.
Members of Audit Committees and Boards.
Senior management teams involved in regulatory reporting and investor relations.
Professionals from PSUs, CPSEs, financial institutions, and advisory firms dealing with capital market compliance.
CS/CA/CMA professionals seeking to enhance their regulatory knowledge base.

Register

Reserve your seat

Share your details and the SSPL team will get in touch with programme dates, fees, and logistics.

Empowering organisations through expert-led corporate training, regulatory excellence, governance advisory, and sustainable business practices.

Get In Touch

Address:

2704, 27th Floor, Tower E-3 Cleo County, Sector-121 Noida, Uttar Pradesh – 201301, India

Contact:

+91 93158 69430
+91 99677 82255

Email:

skilledspl@gmail.com
pinky.skilledspl@gmail.com

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