Legal & Compliance

Our operations are aligned with applicable financial and property regulations to ensure client trust, transparency, and accountability.

Regulatory Disclosures

North Pole South Pole operates with a regulatory-first approach. Our advisory, compliance, and property services are delivered in adherence to Indian and cross-border frameworks.

  • SEBI: All investment recommendations align with SEBI regulations for investment advisory services.
  • RBI/FEMA: Cross-border transactions and repatriation guidance are provided in accordance with FEMA and RBI guidelines.
  • IT Act: Data security and confidentiality measures are adopted to meet Information Technology Act standards.
  • Property Laws: Real estate services are performed in line with state and central property regulations, including tenancy and registration laws.

Privacy Policy

We respect your privacy. Any personal or financial information shared with us is treated with strict confidentiality and used only for the purposes of providing our services. Data is never sold or shared with third parties without consent, except as required by law.

We may collect information through forms, consultations, or documents you provide. This information is stored securely, and access is restricted to authorized personnel only.

Terms of Service

By using our website and services, you agree to the following terms:

  • Our services are advisory in nature and do not constitute a guarantee of financial returns.
  • Clients are responsible for final investment and property-related decisions, based on the advice provided.
  • All regulatory filings, tax matters, and compliance submissions are ultimately the responsibility of the client, unless explicitly agreed upon.
  • We reserve the right to update these terms periodically to reflect regulatory or operational changes.

Disclaimer

All investment and real estate decisions involve risks. While we strive to provide accurate, timely, and compliant guidance, North Pole South Pole does not accept liability for market-driven losses, property disputes, or regulatory changes that impact outcomes. Clients should carefully review advice and documents before making commitments.