What You'll Learn
Companies Act, 2013
Board of Directors and Key Managerial Personnel
SEBI Regulations
Competition Act, 2002 t
Foreign Exchange Management Act (FEMA)
Banking Laws and Regulations
Insurance Sector
MSME Sector
Cyber Security Laws
Anti-Money Laundering (AML)
Insolvency and Bankruptcy Code (IBC), 2016
Prevention of Oppression and Mismanagement
Money Laundering Act (PMLA).
Legal Advisory
COURSE CURRICULUM
Section A: Corporate Laws (60%)
Module 1: The Companies Act, 2013 (40%)
Topics Covered
- Introduction to the Companies Act, 2013
- Types of Companies
- Incorporation and Registration of Companies
- Memorandum of Association (MOA)
- Articles of Association (AOA)
- Prospectus and Private Placement
- Share Capital and Debentures
- Acceptance of Deposits
- Charges
- Management and Administration
- Board of Directors and Key Managerial Personnel (KMP)
- Board Meetings and General Meetings
- Accounts and Audit
- Dividend
- Inspection, Inquiry and Investigation
- Compromise, Arrangement, Merger and Amalgamation
- Prevention of Oppression and Mismanagement
- Producer Companies
- Winding Up of Companies
Module 2:Insolvency and Bankruptcy Code, 2016 (10%)
Topics Covered
- Introduction to Insolvency and Bankruptcy Code (IBC)
- Corporate Insolvency Resolution Process (CIRP)
- Insolvency Resolution by Financial Creditors
- Insolvency Resolution by Operational Creditors
- Role of Insolvency Professionals
- Committee of Creditors (CoC)
- Moratorium
- Liquidation Process
- Bankruptcy Process
- Adjudicating Authorities (NCLT & DRT)
Module 3: Corporate Governance, Corporate Social Responsibility (CSR) & Sustainability (10%)
Topics Covered
- Principles of Corporate Governance
- Board Governance
- Stakeholder Management
- Business Ethics
- Corporate Social Responsibility (CSR)
- CSR Policy and Implementation
- CSR Project Evaluation
- Sustainability Development
- ESG Principles
- Sustainable Business Practices
Section B: Economic Laws and Regulations (40%)
Module 4: SEBI Regulations (10%)
Topics Covered
- Securities and Exchange Board of India (SEBI)
- Issue of Capital
- Listing Regulations
- Insider Trading Regulations
- Takeover Code
- Investor Protection
- Disclosure Requirements
- Corporate Compliance under SEBI
Module 5: The Competition Act, 2002 (5%)
Topics Covered
- Objectives of Competition Law
- Anti-Competitive Agreements
- Abuse of Dominant Position
- Combinations and Mergers
- Competition Commission of India (CCI)
- Competition Compliance
Module 6: Foreign Exchange Management Act (FEMA), 1999 (5%)
Topics Covered
- Introduction to FEMA
- Current Account Transactions
- Capital Account Transactions
- Foreign Direct Investment (FDI)
- Overseas Investments
- External Commercial Borrowings (ECB)
- Export and Import Regulations
- Foreign Exchange Compliance
Module 7: Laws and Regulations Related to Banking Sector (5%)
Topics Covered
- Banking Regulation Act
- Reserve Bank of India (RBI)
- Banking Operations
- Banking Compliance
- Customer Protection
- Financial Inclusion
- Digital Banking Regulations
Module 8: Laws and Regulations Related to Insurance Sector (5%)
Topics Covered
- Insurance Act
- IRDAI Regulations
- Life Insurance
- General Insurance
- Insurance Intermediaries
- Policyholder Protection
- Insurance Compliance
Module 9: Specific Legal Provisions Related to MSME Sector (5%)
Topics Covered
- Information Technology Act
- Cyber Crimes
- Digital Signatures
- Electronic Records
- Data Privacy
- Data Protection
- Cyber Security Framework
- Business Intelligence
- Legal Compliance for Digital Businesses
Module 10: Laws and Regulations Related to Cyber Security & Data Privacy (5%)
Topics Covered
- Information Technology Act
- Cyber Crimes
- Digital Signatures
- Electronic Records
- Data Privacy
- Data Protection
- Cyber Security Framework
- Business Intelligence
- Legal Compliance for Digital Businesses
Module 11: Laws and Regulations Related to Anti-Money Laundering (5%)
Topics Covered
- Introduction to Money Laundering
- Prevention of Money Laundering Act (PMLA)
- Reporting Requirements
- Know Your Customer (KYC)
- Suspicious Transaction Reporting (STR)
- Regulatory Authorities
- Compliance and Risk Management
What Our Students Say
FREQUENTLY ASKED QUESTIONS
How long is the course?
The course includes 30+ hours of HD video lectures, practical assignments, real-world case studies, and downloadable resources. Since you’ll receive lifetime access, you can complete the course at your own pace without any time restrictions.
Will I get a certificate?
Yes. Upon successfully completing the course, you’ll receive an Industry-Recognized Certificate of Completion that you can add to your resume, LinkedIn profile, or professional portfolio.
Is this course suitable for beginners?
Absolutely. This course is designed for beginners, commerce students, working professionals, CA/CMA aspirants, finance executives, accountants, and business owners. Every concept is explained from the fundamentals to advanced practical applications.
Can I watch this course on mobile?
Yes. You can access the course anytime through our Learning App or on your laptop, desktop, or tablet. Your learning progress is automatically synchronized across all devices.
Is access included?
Yes. Once enrolled, you’ll receive 1 Year to all course videos, study materials, assignments, future updates, and any newly added content at no extra cost.
Do I get study material or notes?
Yes. Along with the video lectures, you’ll receive:
- Comprehensive PDF Notes
- Practical Excel Templates
- Cost Sheet Formats
- Case Study Files
- Assignment Worksheets
- Practice Questions
- Downloadable Reference Material