Jay Surti & Associates is a Practising Company Secretary firm providing professional services in the areas of Company Law, LLP compliance, Capital Markets, FEMA regulations, GIFT IFSC and Representation before statutory and quasi-judicial authorities including the National Company Law Tribunal (NCLT), National Company Law Appellate Tribunal (NCLAT), Regional Director (RD), and the Registrar of Companies (RoC).
Established in 2017, the firm is led by CS Jay Surti, a fellow member of the Institute of Company Secretaries of India (ICSI), who brings a practical approach to regulatory advisory and compliance. The firm is committed to supporting clients with timely guidance in alignment with applicable legal frameworks, with a focus on promoting sound corporate governance and regulatory transparency.
CS Jay Surti, a Practising Company Secretary and a member of the Institute of Company Secretaries of India (ICSI), has been engaged in the field of corporate advisory and compliance since 2016. He began his professional career in May 2016 with a multinational corporation, where he gained practical experience and insight into corporate functioning, governance processes, and regulatory frameworks.
In June 2017, he established his independent practice, driven by a commitment to offer focused and client-centric professional services. His practice was further expanded through the formation of a partnership firm, Suthar & Surti, in April 2018, which enabled the delivery of wider services across various client segments.
His areas of practice include Capital Markets, where he has handled assignments related to Initial Public Offerings (IPOs), Preferential Issues, and migration of SMEs to the Main Board. He is also actively engaged in matters before the National Company Law Tribunal (NCLT), particularly in relation to Mergers, Amalgamations, and Schemes of Arrangement.
Over the years, he has had the opportunity to provide advisory and compliance services to Public Sector Undertakings (PSUs) under both the Government of Gujarat and the Central Government. His work also includes significant experience in FEMA-related compliance, such as advisory and certification for foreign investments, remittances, and regulatory reporting.
With a practice anchored in legal accuracy, timely execution, and professional integrity, CS Jay Surti remains committed to offering structured governance and regulatory support to businesses in a dynamic compliance environment.
At Jay Surti & Associates, our mission is to provide ethically grounded and professionally sound services in the field of Company Law and allied statutory requirements. We aim to go beyond the traditional scope of compliance by offering integrated advisory, governance support, and regulatory insights that enable businesses to operate efficiently and transparently within the legal framework.
We are committed to supporting enterprises by strengthening their governance structures and ensuring timely adherence to applicable corporate, economic, and regulatory laws. Through diligence, responsiveness, and integrity, we seek to deliver practical, dependable, and meaningful solutions to our clients.
Our vision is to continually upgrade our professional skills in line with the evolving legal and business environment, enabling us to deliver high-quality services that assist clients in addressing complex regulatory, compliance, and governance challenges. We strive to be a reliable partner in our clients’ decision-making process, providing clarity and insight grounded in law and practice.
We believe in cultivating lasting client relationships by staying aligned with industry developments, ensuring accessibility, and offering services that are consistent, personalized, and delivered with a high standard of ethics and professionalism.
We aim to empower our clients to focus on their core business activities while we take responsibility for their non-core regulatory functions — efficiently, responsibly, and cost-effectively.
Integrity & Ethics – At the core of our practice, ensuring trust and transparency.
Professional Excellence – Commitment to accuracy, legal rigor, and continuous learning.
Client-Centric Approach – Personalized service, reliable guidance, and long-term relationships.
Responsiveness – Timely communication and support in a dynamic regulatory landscape.
Confidentiality – Maintaining the highest standards of client confidentiality and discretion.