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Regulatory and Compliance Advisory

IT Compliance and Regulatory Services for Enterprise Organizations

We provide structured, evidence-based compliance consulting across the full spectrum of IT regulatory frameworks - from ISO 27001 certification readiness and SOC 2 Type II to GDPR, DPDP Act, PCI DSS, HIPAA, RBI IT Framework, and SEBI cybersecurity requirements. Our consultants help regulated enterprises build sustainable compliance programs that satisfy auditors, satisfy regulators, and reduce operational risk.

ISO 27001SOC 2 ReadyNDA Day 1MSA AvailableIP Protection

Enterprise Consultation

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500+
Enterprise Clients
10,000+
Engineers Deployed
50+
Countries Served
99.4%
CSAT Score
48h
Team Assembly
ISO 27001
Certified

The Challenge

Regulatory complexity is outpacing internal compliance capacity

Most enterprises now face simultaneous obligations across multiple regulatory frameworks, each with distinct control requirements, evidence standards, and audit cycles. Internal compliance teams - often understaffed and under-resourced - struggle to maintain currency with regulatory changes while also building the technical control evidence that auditors and regulators demand. The result is audit fatigue, duplicated effort across frameworks, and persistent gaps that create both regulatory and reputational exposure.

68%
of enterprises cite multi-framework overlap as their top compliance challenge
$4.2M
average cost of a data breach for non-compliant organizations
3.5x
higher regulatory penalty exposure without documented control evidence
14+
distinct frameworks a typical financial services firm must address

Why QuickHire

Why Enterprises Choose QuickHire

01

Multi-Framework Expertise

Our consultants hold active certifications across ISO 27001 Lead Auditor, CISA, CISSP, CIPP/E, and PCI QSA - providing authoritative guidance across every framework your organization faces. We maintain dedicated practice areas for financial sector regulation, healthcare compliance, and cross-border data protection.

02

Integrated Compliance Architecture

We map your control library to multiple frameworks simultaneously, eliminating duplicate documentation and audit evidence collection. A single control implementation satisfies requirements across ISO 27001, SOC 2, NIST CSF, and sector-specific regulations - reducing total compliance program cost by 30 to 50 percent.

03

Regulatory Intelligence

Our regulatory monitoring function tracks changes to Indian financial sector regulations, EU data protection law, and global security standards in real time. You receive advance notice of upcoming regulatory changes with sufficient lead time to adapt your compliance program before new obligations take effect.

04

Evidence-Driven Assessments

We conduct assessments using the same testing methodology your auditors will apply - reviewing actual control evidence rather than relying on management assertions. This approach eliminates surprises during formal audits and ensures your compliance program reflects operational reality rather than documented intent.

05

Auditor and Regulator Relationships

Our consultants bring direct experience working with Big Four audit firms, accredited certification bodies, and financial sector regulators. This familiarity with examiner expectations translates into documentation packages that satisfy auditors efficiently and examination responses that address regulator concerns directly.

06

Board-Ready Reporting

We translate complex compliance findings into executive dashboards and board-ready reports that communicate risk in business terms. Your board and audit committee receive clear visibility into compliance posture, remediation progress, and residual risk without requiring technical expertise to interpret.

Challenges

Common Enterprise Pain Points

01

Overlapping Framework Requirements

Enterprises operating in regulated sectors commonly face simultaneous obligations under ISO 27001, SOC 2, PCI DSS, GDPR, and sector-specific frameworks from RBI or SEBI. Managing these frameworks independently creates enormous documentation overhead, conflicting audit timelines, and redundant control testing that exhausts compliance teams and produces inconsistent evidence quality.

02

Evolving Regulatory Landscape

The regulatory environment for IT compliance in India is changing rapidly - the DPDP Act 2023 introduced new obligations, SEBI updated its CCRF in 2023, and RBI continues to issue IT-related master directions. Organizations without dedicated regulatory monitoring capabilities frequently discover new obligations after they have already taken effect, creating retroactive remediation challenges.

03

Evidence Collection and Audit Readiness

Compliance frameworks require continuous evidence collection throughout observation periods, not just point-in-time documentation produced before an audit. Organizations that do not maintain systematic evidence collection processes find themselves scrambling to reconstruct months of control operation from log archives and system records, often producing incomplete or inconsistent audit packages.

04

Third-Party and Vendor Risk

Cloud adoption, SaaS proliferation, and outsourced processing relationships extend enterprise risk perimeters to hundreds of third parties who handle sensitive data or critical system functions. Regulators including RBI, SEBI, and data protection authorities hold the regulated entity responsible for the security practices of its vendors, requiring systematic due diligence and ongoing monitoring programs.

05

Cross-Border Data Transfer Complexity

Global organizations must navigate conflicting data transfer regimes - GDPR restricts transfers to countries without adequate protection, the DPDP Act will restrict transfers to countries not approved by the Indian government, and sector-specific data localization requirements from RBI mandate that certain payment data remain within India. Designing systems that comply simultaneously with multiple transfer regimes requires specialized legal and technical expertise.

Our Approach

Structured compliance programs that satisfy auditors and sustain regulatory standing

Our enterprise compliance methodology combines framework-specific technical knowledge with a unified control architecture that serves multiple compliance objectives simultaneously. We design programs that collect evidence continuously, monitor regulatory changes proactively, and position your organization for successful outcomes in formal audits and regulatory examinations - without the audit fatigue that comes from managing each framework independently.

01

Integrated Control Framework

We build a single control library cross-referenced to all applicable frameworks, so implementation and testing effort serves multiple compliance objectives simultaneously.

02

Continuous Evidence Management

Automated evidence collection workflows capture control operation evidence throughout audit observation periods, eliminating last-minute scrambles and producing complete, consistent audit packages.

03

Regulatory Change Management

Dedicated regulatory monitoring tracks changes to applicable frameworks and delivers impact assessments with actionable remediation timelines before new obligations take effect.

04

Audit and Examination Support

We manage auditor and regulator interactions end-to-end - coordinating evidence requests, briefing your staff on examiner expectations, and drafting responses to findings that address concerns precisely.

Delivery Models

How We Deliver

Certification Readiness Program

A structured engagement to achieve a specific certification - ISO 27001, SOC 2 Type II, or PCI DSS - with defined milestones from gap analysis through successful audit completion.

Timeline
6-18 weeks
Team Size
2-4 consultants
Multi-Framework Implementation

Simultaneous implementation across two or more frameworks using our integrated control architecture, reducing total effort compared to sequential independent implementations.

Timeline
12-24 weeks
Team Size
3-6 consultants
Managed Compliance Retainer

Ongoing compliance management including continuous evidence collection, regulatory monitoring, quarterly control testing, and annual audit coordination.

Timeline
Ongoing
Team Size
1-2 dedicated managers

Capabilities

Technical Capability Matrix

Certification and Audit Frameworks
ISO 27001 ISMS Implementation
SOC 2 Type I and Type II Readiness
PCI DSS Assessment and Remediation
ISO 27701 Privacy Extension
NIST Cybersecurity Framework Adoption
Data Protection and Privacy
GDPR Implementation and DPO Support
DPDP Act 2023 Compliance
Privacy Impact Assessments
Data Subject Rights Workflows
Cross-Border Transfer Mechanisms
Financial Sector Regulation
RBI IT Framework for NBFCs
SEBI CCRF Compliance
IRDAI Cyber Security Guidelines
Payment System Operator Requirements
Data Localization for Payment Data
Healthcare and Sector Compliance
HIPAA Security Rule Implementation
Business Associate Agreement Design
Protected Health Information Safeguards
HITRUST CSF Alignment
Healthcare Vendor Risk Management
Technology Stack
GRC PlatformsServiceNow GRCOneTrustVantaDrataTugboat LogicSIEM SolutionsVulnerability ScannersCloud Security Posture ManagementIdentity Governance ToolsData Discovery PlatformsAudit Management Systems
Industries Served
Banking and Financial ServicesInsuranceHealthcare and Life SciencesFintech and PaymentsE-commerce and RetailSaaS and Cloud ServicesManufacturingGovernment and Public Sector

Engagement Models

How We Engage

Choose the model that fits your programme governance, budget cycle, and team structure.

Staff Augmentation

Engineers embed directly under your management.

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Dedicated Developers

Full-time team aligned to your product roadmap.

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Managed Teams

End-to-end delivery with SLA-backed outcomes.

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Engineering Pods

Autonomous cross-functional pods per domain.

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Offshore Dev Centre

Permanent engineering base in India. Full IP ownership.

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Build-Operate-Transfer

We build and run it. You take ownership on schedule.

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Our Process

From Discovery to Delivery

1

Regulatory Scoping and Applicability Analysis

Day 1

We conduct a thorough analysis of which frameworks and regulations apply to your organization based on sector, geography, data types processed, and customer contractual obligations.

2

Gap Analysis and Risk Assessment

Days 3-10

A structured assessment compares your current control environment against all applicable framework requirements, producing a risk-prioritized remediation roadmap with effort and timeline estimates.

3

Control Design and Policy Development

Weeks 3-6

Our consultants design controls, draft policies and procedures, and build evidence collection workflows that satisfy requirements across all applicable frameworks simultaneously.

4

Implementation, Testing, and Evidence Collection

Weeks 6-16

Controls are implemented with your technical teams, tested against framework requirements, and evidence packages are assembled for audit submission.

5

Audit Support and Ongoing Management

Ongoing

We coordinate formal audit or examination engagements, manage evidence requests, and transition your organization to ongoing compliance management to sustain certification.

Free Scoping Call

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  • Free scoping call PM explains exactly how we fix it
  • No commitment hear the plan before you pay anything
  • Expert confirmed right skill match for your stack
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Security & Compliance

Enterprise-Grade Security by Default

ISO 27001 CertifiedSOC 2 Type II ReadyGDPR CompliantDPDP Act ReadyNDA on Day 1MSA AvailableIP Assignment ClausesEscrow Options

Governance

Programme Governance

Compliance Steering Committee Support

We facilitate monthly compliance steering committee meetings, providing risk dashboards, remediation status updates, and regulatory intelligence briefings that enable informed governance decisions.

Policy Lifecycle Management

All compliance policies are maintained in version-controlled repositories with defined review schedules, owner assignments, and approval workflows that satisfy auditor requirements for documented policy governance.

Risk Register Maintenance

A continuously updated risk register captures identified compliance risks, mitigation actions, residual risk assessments, and acceptance decisions - providing auditors and regulators with evidence of active risk management.

Regulatory Change Notification

Dedicated monitoring delivers structured impact assessments within 48 hours of material regulatory changes, with recommended action plans that allow your compliance program to adapt before new obligations take effect.

Team Structure

Your Enterprise Team

Our compliance team combines regulatory specialists, certified auditors, technical security architects, and privacy advisors who collaborate to deliver integrated compliance programs. Every engagement is led by a senior compliance manager with direct audit and regulatory examination experience, supported by framework-specific specialists who bring depth across the controls and evidence standards your auditors and regulators will apply.

Lead Compliance Manager
ISO 27001 Lead Auditor
SOC 2 Readiness Specialist
Data Protection Advisor
PCI DSS Qualified Security Assessor
Financial Sector Regulatory Specialist
Technical Security Architect
Vendor Risk Management Analyst

Project Lifecycle

From Kickoff to Production

Phase 01

Scoping and Assessment

2-3 weeks

Regulatory applicability analysis, gap assessment report, risk-prioritized remediation roadmap, effort estimates.

Phase 02

Program Design

3-4 weeks

Control framework documentation, policy and procedure library, evidence collection workflows, governance structure design.

Phase 03

Implementation

6-12 weeks

Implemented technical controls, completed staff training, vendor risk assessments, incident response playbooks.

Phase 04

Audit Readiness

2-4 weeks

Pre-audit readiness assessment, evidence package assembly, auditor coordination, staff briefing materials.

Phase 05

Sustained Compliance

Ongoing

Quarterly control testing, continuous evidence collection, regulatory change assessments, annual audit coordination.

Case Studies

Enterprise Outcomes

Fintech - Payments

A payment aggregator processing 40 million transactions monthly required simultaneous PCI DSS Level 1 certification and RBI Payment Aggregator license compliance within a compressed timeline.

We designed an integrated control program addressing PCI DSS requirements and RBI PA guidelines simultaneously, implemented network segmentation and tokenization architecture, and managed the QSA assessment engagement.

100%PCI DSS Level 1 certified on first attempt, RBI license obtained
Healthcare Technology

A health records SaaS platform serving 200 hospital clients faced simultaneous requirements for SOC 2 Type II, HIPAA compliance, and ISO 27001 certification demanded by enterprise clients.

Our integrated control framework mapped all three requirements to a single control library, reducing total documentation effort by 45 percent and enabling all three audit engagements to share evidence collected during a single observation period.

$2.8Mnew enterprise contracts unlocked by multi-framework certification
NBFC - Financial Services

A mid-market NBFC received RBI examination findings citing deficiencies in IT governance, information security, and third-party risk management.

We designed and implemented a comprehensive RBI IT Framework compliance program, built a vendor risk management function, and coordinated submission of a structured remediation response that satisfied the regulator's follow-up review within 90 days.

90days to close all RBI examination findings
Industries
Banking and Financial ServicesHealthcare and Life SciencesFintech and PaymentsInsuranceSaaS and Cloud Services

FAQ

Frequently Asked Questions

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Hiring Models

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  • Managed team with SLA
  • Enterprise AI, cloud, or security teams

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