End-to-end IPO & public-issue registry, from application to allotment.
We support companies and merchant bankers in executing public and rights issues with end-to-end RTA services — from application form design through refund processing and post-issue compliance.
What we cover
Full RTA scope for public and rights issues, bonds, and NCDs — coordinated with merchant bankers, depositories, and banks.
Application form design
Form design and checklist preparation aligned to SEBI ICDR guidelines.
Data capture & validation
Application data capture, verification, and validation against PAN, KYC, and DP records.
Reconciliation
Reconciliation of applications with banker, SCSB, and ASBA / UPI data.
Basis of allotment
Coordination with merchant bankers on basis-of-allotment and final allotment list generation.
Refund processing
Refund advice generation, processing, and investor communication.
Investor grievance handling
Investor query and grievance handling throughout the issue cycle.
Post-issue reporting
Post-issue reports for company, banker, SEBI, and exchanges.
Coordination & integration
Coordination with depositories, banks, SCSBs, and the merchant banker syndicate.
A registrar that knows the playbook.
From draft RHP through listing day and post-listing compliance, we coordinate the registry workstream so the issue can run on schedule. Clear SLAs, daily reconciliation calls, and full audit trails throughout.
- Daily reconciliation and status reporting
- Investor query handling during the issue window
- Allotment basis modelling and finalisation
- Refund and credit confirmation with SCSBs / banks
- Post-issue reporting to SEBI, exchanges, and depositories
Planning an IPO or rights issue?
Talk to our IPO desk early — we’ll share scope, SLAs, and onboarding timeline.