Compliance

Corporate Policies

Corporate Policies

Table of Content

Sr.noParticularsPage no.
1COMMITMENT3
2OBJECTIVES3
3APPLICABILITY3
4DEFINITION – SEXUAL HARASSMENT & WORKPLACE4
5RESPONSIBILITIES REGARDING SEXUAL HARASSMENT4
6COMPLAINT MECHANISM & COMMITTEE4
7PROCEDURES FOR RESOLUTION SETTLEMENT OR PROSECUTION OF ACTS OF SEXUAL HARASSMENT5
8CONFIDENTIALITY5
9ACCESS TO REPORTS AND DOCUMENTS6
10PROTECTION TO COMPLAINANT / VICTIM6
11FALSE OR FRIVOLOUS OR MALICIOUS COMPLAINTS7
12AWARENESS OF POLICY7
13CONCLUSION7

PREVENTION OF SEXUAL HARASSMENT (POSH)

Tristha Global Private Limited
TAMARAI TECH PARK, 4th floor,
100 Feet Rd, Thiru Vi Ka Industrial Estate,
SIDCO Industrial Estate, Guindy,
Chennai, Tamil Nadu 600032

1. Commitment

Tristha Global Private Limited (“Company”) is committed to providing equal employment opportunities, i.e. no discrimination based on age, race, color, religion, national origin, or gender. All employees are entitled to a work environment free of sexual intimidation and one which promotes dignity, respect, and affordable equitable treatment; the Company ensures promoting a work environment that is conducive to the professional growth of all employees and encourages equal opportunity to all.

In this regard, the Company has framed this policy on Prevention and Redressal of Sexual Harassment (herein referred to as “Policy”). The Policy aims to prevent/prohibit and redress any incident of Sexual Harassment and to enforce strong disciplinary action in face of any such occurrence. The Policy defines Sexual Harassment and provides a framework to deal with complaints of Sexual Harassment at the Workplace or related to the workplace.

Tristha’s POSH policy is gender-neutral in nature and covers all employees without any regard to their gender. The Company is committed to providing a workplace free from sexual harassment for all employees. Complaints made by women shall be dealt with in accordance with the Sexual Harassment of Women at Workplace (Prevention, Prohibition and Redressal) Act, 2013. Any form of Sexual Harassment whether overt or covert is unacceptable, and therefore regarded as misconduct as per the terms of this Policy. The Company will take action consistent with its disciplinary and grievance procedures against any employee found to have breached this Policy. The company will also take steps to comply with any specific domestic laws relating to this issue.

2. Objectives

  1. Provide a work environment free from fear, reprisal, coercion, discrimination, and harassment of sexual nature.
  2. Express zero tolerance to any Sexual Harassment at Workplace through Prevention, Resolution, and Deterrence of acts of Sexual Harassment.
  3. Enable all those working, associated, and visiting the Company to raise their concerns and make complaints without any fear.
  4. Define Sexual Harassment and provide a clearly stated codified redress for any Sexual Harassment occurring at Workplace.
  5. Provide a procedure for the resolution, conciliation (where applicable), inquiry and redressal of complaints of Sexual Harassment.
  6. Ensure a fair, impartial and timely inquiry and reach a reasonable decision in a timely manner.

3. Applicability

This Policy applies to all individuals who are employed in the Company, either engaged in permanent, contractual, or temporary capacity (whether in the office premises or in any office which includes regional / branch and any external location visited by the employees during the course of employment whether within or outside of India). This Policy also applies to the harassment of/by vendors, visitors, interns, apprentice, and customers of the Company depending on the merit of the case which affects the business interest of the Company.

4. Definition

Sexual Harassment means one or more unwelcome acts or behaviour involving unsolicited and unwelcome behavior (whether directly or by implication) towards a co-worker/subordinate/supervisors/third party personnel involving, but not limited to, any of the following:

  1. Physical contact or unwelcome advances;
  2. Demand or request for sexual favors;
  3. Sexually colored remarks;
  4. Showing pornography or displaying, circulating or sharing any sexually explicit or obscene material. This includes circulation/displaying of potentially offensive sexually oriented content in the Workplace;
  5. Any other unwelcome physical, verbal or non-verbal conduct of sexual nature like jokes/comments/conversations causing or likely to cause awkwardness or embarrassment;
  6. Innuendo and taunts of sexual nature;
  7. Physical confinement against one’s will and likely to intrude upon one’s privacy; or sexual assault;
  8. Sounds, gestures, staring, leering, gender-based insults or sexist remarks, sexual overtone in any manner such as over telephone/mobile, Email and includes any act or conduct by a person and belonging to one sex which denies or would deny equal opportunity in pursuit of employment/retention/career development or otherwise making the environment at the Workplace hostile, humiliating or intimidating to person belonging to the other sex;
  9. Un-welcome propositions/requests for social dates/sexual activity.

The following circumstances among other circumstances, if it occurs or is present in relation to or connected with any act or behavior of Sexual Harassment may amount to Sexual Harassment:

  1. Implied or explicit promise of preferential treatment in employment, or
  2. Implied or explicit threat of detrimental treatment in employment, or
  3. Implied or explicit threat about the present or future employment or
  4. Humiliating treatment likely to affect the health or safety.

Definition of Workplace: ‘Workplace’ includes any place visited by the employee arising out of or during the course of employment, including transportation provided by the Company for the purpose of commuting to and from the place of employment as well as your house including work from home or any other location from where an employee is authorized to work.

5. Responsibilities

All employees of the Company have a personal responsibility to ensure that their behavior is not contrary to this policy.

All employees are encouraged to reinforce the maintenance of a work environment free from sexual harassment. Every employee shall maintain a work environment that is free from Sexual Harassment and shall immediately report any incident witnessed or experienced.

6. Complaints Committee

The Company has constituted an Internal Committee (IC) in accordance with the provisions of the Sexual Harassment of Women at Workplace (Prevention, Prohibition and Redressal) Act, 2013, to receive, investigate and redress complaints of sexual harassment in a fair, impartial and time-bound manner.

Details of the Internal Committee, including the names and contact details of its members, shall be communicated to all employees through appropriate communication channels and displayed at conspicuous places at the workplace.

The Committee shall be responsible for:

  1. Receiving complaints of sexual harassment.
  2. Conducting inquiries in accordance with the provisions of the Act.
  3. Maintaining strict confidentiality throughout the proceedings.
  4. Recommending appropriate interim relief and disciplinary action, wherever applicable.
  5. Submitting its findings and recommendations to the Employer within the prescribed timelines.
  6. Preparing the Annual Report as required under the Act.

7. Procedures for Resolution, Settlement or Prosecution of Acts of Sexual Harassment

The Company is committed to providing a supportive environment to resolve concerns of sexual harassment as under:

A. Informal Resolution Options

When an incident of sexual harassment occurs, the victim of such conduct can communicate their disapproval and objections immediately to the harasser and request the harasser to behave decently.

If the harassment does not stop or if the victim is not comfortable with addressing the harasser directly, the victim can bring their concern to the attention of the Internal Committee for redressal of their grievances. The Internal Committee will thereafter provide advice or extend support as requested and will undertake prompt investigation to resolve the matter.

B. Complaints

Any aggrieved woman may submit a written complaint to the Internal Committee within three months from the date of the incident or, in the case of a series of incidents, within three months from the date of the last incident. The Internal Committee may extend the time limit by a further period of three months if it is satisfied that circumstances prevented the complainant from filing the complaint within the prescribed period.

Before initiating an inquiry, the Internal Committee may, at the written request of the complainant, take steps to settle the matter through conciliation. No monetary settlement shall be made as the basis of conciliation.

During the pendency of the inquiry, the Internal Committee may recommend to the Employer appropriate interim relief, including transfer of either party, grant of leave to the complainant as permitted under the Act, change in reporting relationships, or any other suitable relief to ensure a fair and safe working environment.

The Internal Committee shall complete the inquiry within 90 days from the date of receipt of the complaint and submit its report to the Employer. The Employer shall act upon the recommendations of the Internal Committee within 60 days of receipt of the report. The Internal Committee shall prepare and submit an Annual Report containing the particulars prescribed under the Sexual Harassment of Women at Workplace (Prevention, Prohibition and Redressal) Act, 2013, and the applicable Rules.

Corrective action may include any of the following:

  1. Formal apology
  2. Counseling
  3. Written warning to the perpetrator and a copy of it maintained in the employee’s file
  4. Change of work assignment / transfer for either the perpetrator or the victim.
  5. Suspension or termination of services of the employee found guilty of the offence

The victim can also seek legal remedies as may be available under the various laws for the time being in force.

The Committee shall keep complete documentation of the complaint, investigation and its report. The committee/officer designated for this purpose shall ensure that all documents shall also be kept securely in the personal files of the complainant as well as the person complained against.

The Company shall:

  1. Provide a safe working environment.
  2. Display the details of the Internal Committee and the penal consequences of sexual harassment at conspicuous places.
  3. Organize regular awareness and sensitization programmes for employees and capacity-building programmes for the Internal Committee.
  4. Assist the complainant in initiating legal proceedings wherever required.
  5. Treat sexual harassment as misconduct under the Company’s service rules.
  6. Implement the recommendations of the Internal Committee within the prescribed timelines.

8. Confidentiality

The Company understands that it is difficult for the victim to come forward with a complaint of sexual harassment and recognizes the victim’s interest in keeping the matter confidential.

To protect the interests of the victim, the accused person and others who may report incidents of sexual harassment, confidentiality will be maintained throughout the investigatory process to the extent practicable and appropriate under the circumstances.

9. Access to Reports and Documents

All records of complaints, including contents of meetings, results of investigations and other relevant material will be kept confidential by the Company except where disclosure is required under disciplinary or other remedial processes.

10. Protection to Complainant / Victim

The Company is committed to ensuring that no employee who brings forward a harassment concern is subject to any form of reprisal. Any reprisal will be subject to disciplinary action.

The Company will ensure that the victim or witnesses are not victimized or discriminated against while dealing with complaints of sexual harassment.

However, anyone who abuses the procedure (for example, by maliciously putting an allegation knowing it to be untrue) will be subject to disciplinary action.

11. False or Frivolous or Malicious Complaints

If it is revealed at any stage of the investigation that the complaint made was false or frivolous or was made with malicious intent or with the motive of maligning the concerned individual or to settle personal professional scores, strict action will be taken against such complainant.

A mere inability to substantiate a complaint or provide adequate proof may not attract action against the complainant under this clause, unless circumstances suggest otherwise.

12. Awareness About Policy

Awareness about this Policy shall be created by displaying or notifying the salient features of the Policy in a suitable manner and Employees will be free to raise issues relating to Sexual Harassment and the same will be discussed in meetings with the management.

All steps should be taken by the Company to inform third party personnel having a business relationship with the Company about the existence and applicability of this Policy. This may include a display of this Policy at a conspicuous location.

13. Conclusion

In conclusion, the Company reiterates its commitment to providing its employees a workplace free from harassment/discrimination and where every employee is treated with dignity and respect.

WHISTLEBLOWER POLICY

Tristha Global Pvt. Ltd
Tamarai Tech Park, North Block,
West Wing, 04th Floor, No. 16-20A, (SP) Developed Plot,
Guindy, Chennai,
Tamil Nadu-600032
www.tristhaglobal.com

Contents

Sr.no Particulars Page no.
1INTRODUCTION3
2SCOPE3
3GUIDING PRINCIPLES4
4ANONYMOUS ALLEGATION5
5PROTECTION TO WHISTLEBLOWER5
6ACCOUNTABILITIES5
7RIGHTS OF A SUBJECT7
8MANAGEMENT ACTION ON FALSE DISCLOSURES7
9PROCEDURE FOR REPORTING & DEALING WITH DISCLOSURES7
10ACCESS TO REPORTS AND DOCUMENTS7
11RETENTION OF DOCUMENTS7
12REPORTS7
13COMPANY’S POWERS8
14ANNEXURE8

I. Preface

Tristha Global Pvt. Ltd. (the “Company”) has adopted the Code of Ethics & Business Conduct, which lays down the principles and standards that should govern the actions of the Company and its employees. Any actual or potential violation of the Code, howsoever insignificant or perceived as such, would be a matter of serious concern for the Company. The role of employees in pointing out such violations of the Code cannot be undermined. Accordingly, this Whistleblower Policy (“the Policy”) has been formulated with a view to provide a mechanism for employees of the Company to raise concerns on any violations of legal or regulatory requirements, incorrect or misrepresentation of any financial statements and reports, etc.

II. Objective

The Company is committed to adhere to the highest standards of ethical, moral and legal conduct of business operations. To maintain these standards, the Company encourages its employees who have concerns about suspected misconduct to come forward and express these concerns without fear of punishment or unfair treatment. This policy aims to provide an avenue for employees to raise concerns on any violations of legal or regulatory requirements, incorrect or misrepresentation of any financial statements and reports, etc.

III. Policy

The Whistleblower policy intends to cover serious concerns that could have grave impact on the operations and performance of the business of the Company.

The policy neither releases employees from their duty of confidentiality in the course of their work, nor is it a route for taking up a grievance about a personal situation.

IV. Definitions

  • “Disciplinary Action” means any action that can be taken on the completion of/during the investigation proceedings including but not limited to a warning, imposition of fine, suspension from official duties or any such action as is deemed to be fit considering the gravity of the matter.
  • “Employee” means every employee of the Company.
  • “Protected Disclosure” means a concern raised by a written communication made in good faith that discloses or demonstrates information that may evidence unethical or improper activity. Protected Disclosures should be factual and not speculative in nature.
  • “Subject” means a person or group of persons against or in relation to whom a Protected Disclosure is made or evidence gathered during the course of an investigation under this Policy.
  • “Whistleblower” is someone who makes a Protected Disclosure under this Policy.
  • “Whistle Officer” or “Whistle Committee” or “Committee” means an officer or Committee of persons who is/are nominated/appointed to conduct detailed investigation of the disclosure received from the whistleblower and recommend disciplinary action. Currently, Ms. Swati Dahilkar is nominated as Whistle Officer for Mumbai location and Mr. Srijit Das is nominated as Whistleblower Officer for Chennai location.
  • “Good Faith”: An employee shall be deemed to be communicating in “good faith” if there is a reasonable basis for communication of unethical and improper practices or any other alleged wrongful conduct. Good Faith shall be deemed lacking when the employee does not have personal knowledge on a factual basis for the communication or where the employee knew or reasonably should have known that the communication about the unethical and improper practices or alleged wrongful conduct is malicious, false or frivolous.
  • “Policy or This Policy” means, “Whistleblower Policy.”

V. Scope

Various stakeholders of the Company are eligible to make Protected Disclosures under the Policy. These stakeholders may fall into any of the following broad categories:

  • Employees of the Company
  • Employees of other agencies deployed for the Company’s activities, whether working from any of the Company’s offices or any other location
  • Contractors, vendors, suppliers or agencies (or any of their employees) providing any material or service to the Company
  • Customers of the Company
  • Any other person having an association with the Company

A person belonging to any of the above-mentioned categories can avail of the channel provided by this Policy for raising an issue covered under this Policy.

The Policy covers malpractices and events which have taken place/suspected to take place involving:

  1. Breach of contract
  2. Negligence causing substantial and specific danger to public health and safety
  3. Manipulation of company data/records
  4. Financial irregularities, including fraud or suspected fraud or deficiencies in Internal Control and check or deliberate error in preparations of Financial Statements or misrepresentation of financial reports
  5. Any unlawful act whether Criminal/Civil
  6. Pilferation of confidential/proprietary information
  7. Deliberate violation of law/regulation
  8. Wastage/misappropriation of company funds/assets
  9. Breach of Company Policy or failure to implement or comply with any approved Company Policy

This Policy should not be used in place of the Company grievance procedures or be a route for raising malicious or unfounded allegations against colleagues.

VI. Guiding Principles

To ensure that this Policy is adhered to, and to assure that the concern will be acted upon seriously, the Company will:

  • Ensure that the Whistleblower and/or the person processing the Protected Disclosure is not victimized for doing so
  • Treat victimization as a serious matter, including initiating disciplinary action on person/(s) indulging in victimization
  • Ensure complete confidentiality
  • Not attempt to conceal evidence of the Protected Disclosure
  • Take disciplinary action, if anyone destroys or conceals evidence of the Protected Disclosure made/to be made
  • Provide an opportunity to hear all persons involved, especially the Subject

VII. Anonymous Allegation

Whistleblowers must put their names to allegations as follow-up questions and investigation may not be possible unless the source of the information is identified. Disclosures expressed anonymously will ordinarily NOT be investigated.

VIII. Protection to Whistleblower

1. If one raises a concern under this Policy, he/she will not be at risk of suffering any form of reprisal or retaliation. Retaliation includes discrimination, reprisal, harassment or vengeance in any manner. Company’s employee will not be at the risk of losing her/his job or suffer loss in any other manner like transfer, demotion, refusal of promotion, or the like including any direct or indirect use of authority to obstruct the Whistleblower’s right to continue to perform his/her duties/functions including making further Protected Disclosure, as a result of reporting under this Policy. The protection is available provided that:

  1. The communication/disclosure is made in good faith
  2. He/She reasonably believes that information, and any allegations contained in it, are substantially true; and
  3. He/She is not acting for personal gain

Anyone who abuses the procedure (for example by maliciously raising a concern knowing it to be untrue) will be subject to disciplinary action, as will anyone who victimizes a colleague by raising a concern through this procedure. If considered appropriate or necessary, suitable legal actions may also be taken against such individuals.

However, no action will be taken against anyone who makes an allegation in good faith, reasonably believing it to be true, even if the allegation is not subsequently confirmed by the investigation.

2. The Company will not tolerate the harassment or victimization of anyone raising a genuine concern. As a matter of general deterrence, the Company shall publicly inform employees of the penalty imposed and disciplinary action taken against any person for misconduct arising from retaliation. Any investigation into allegations of potential misconduct will not influence or be influenced by any disciplinary or redundancy procedures already taking place concerning an employee reporting a matter under this policy.

Any other Employee/business associate assisting in the said investigation shall also be protected to the same extent as the Whistleblower.

IX. Accountabilities – Whistleblowers

  1. Bring to early attention of the Company any improper practice they become aware of.
  2. Although they are not required to provide proof, they must have sufficient cause for concern. Delay in reporting may lead to loss of evidence and also financial loss for the Company.
  3. Avoid anonymity when raising a concern
  4. Follow the procedures prescribed in this policy for making a Disclosure
  5. Co-operate with investigating authorities, maintaining full confidentiality
  6. The intent of the policy is to bring genuine and serious issues to the fore and it is not intended for petty disclosures. Malicious allegations by employees may attract disciplinary action
  7. A whistleblower has the right to protection from retaliation. But this does not extend to immunity for involvement in the matters that are the subject of the allegations and investigation
  8. Maintain confidentiality of the subject matter of the Disclosure and the identity of the persons involved in the alleged Malpractice. It may forewarn the Subject and important evidence is likely to be destroyed
  9. In exceptional cases, where the whistleblower is not satisfied with the outcome of the investigation carried out by the Whistle Officer or the Committee, he/she can make a direct appeal to the MD of the Company

X. Accountabilities – Whistle Officer and Whistle Committee

  1. Conduct the enquiry in a fair, unbiased manner
  2. Ensure complete fact-finding
  3. Maintain strict confidentiality
  4. Decide on the outcome of the investigation, whether an improper practice has been committed and if so by whom
  5. Recommend an appropriate course of action – suggested disciplinary action, including dismissal, and preventive measures
  6. Record Committee deliberations and document the final report

XI. Rights of a Subject

  1. Subjects have the right to be heard and the Whistle Officer or the Committee must give adequate time and opportunity for the subject to communicate his/her says on the matter
  2. Subjects have the right to be informed of the outcome of the investigation and shall be so informed in writing by the Company after the completion of the inquiry/investigation process

XII. Management Action on False Disclosures

An employee who knowingly makes false allegations of unethical & improper practices or alleged wrongful conduct shall be subject to disciplinary action, up to and including termination of employment, in accordance with Company rules, policies and procedures. Further this policy may not be used as a defense by an employee against whom an adverse personnel action has been taken independent of any disclosure made by him and for legitimate reasons or cause under Company rules and policies.

XIII. Procedure for Reporting & Dealing with Disclosures

For more details, refer to the procedure for reporting & dealing with disclosures given in Annexure A.

XIV. Access to Reports and Documents

All reports and records associated with “Disclosures” are considered confidential information and access will be restricted to the Whistleblower, the Whistle Committee and Whistle Officer. “Disclosures” and any resulting investigations, reports or resulting actions will generally not be disclosed to the public except as required by any legal requirements or regulations or by any corporate policy in place at that time.

XV. Retention of Documents

All Protected Disclosures in writing or documented along with the results of investigation relating thereto shall be retained by the Company for a minimum period of 07 years.

XVI. Reports

A quarterly status report on the total number of complaints received during the period, with summary of the findings of the Whistle Committee and the corrective actions taken will be sent to Srinivasan R., MD of the Company.

XVII. Company’s Powers

The Company is entitled to amend, suspend or rescind this policy at any time. Whilst the Company has made best efforts to define detailed procedures for implementation of this policy, there may be occasions when certain matters are not addressed or there may be ambiguity in the procedures. Such difficulties or ambiguities will be resolved in line with the broad intent of the policy. The Company may also establish further rules and procedures, from time to time, to give effect to the intent of this policy and further the objective of good corporate governance.

Annexure A

Procedure for Reporting & Dealing with Disclosures

1. How should a Disclosure be made and to whom?

A Disclosure should be made in writing. Letters can be submitted by hand-delivery, courier or by post addressed to the Whistle Officer appointed by the Company.

Emails can be sent to the email id: disclosure@tristhaglobal.com. A disclosure should normally be submitted to the Whistle Officer.

Disclosures against any employee in Strategic Job Responsibility Band or the Business Unit Heads or the Executive Directors should be sent directly to Srinivasan R., MD of the Company.

2. Is there any specific format for submitting the Disclosure?

While there is no specific format for submitting a Disclosure, the following details MUST be mentioned:

  1. Name, address and contact details of the Whistleblower
  2. Brief description of the Malpractice, giving the names of those alleged to have committed or about to commit a Malpractice. Specific details such as time and place of occurrence are also important.
  3. In case of letters, the disclosure should be sealed in an envelope marked “Whistle Blower” and addressed to the Whistle Officer OR MD, depending on position of the person against whom disclosure is

Anti-Bribery, Anti-Corruption & AML Policy

Governance & ethics policy · Handbook ref. 11.6

How Tristha Global Pvt Ltd identifies, prevents and responds to bribery, corruption and money laundering risk across our business — for every employee, director, contractor and partner acting on our behalf.

Applies toAll employees & directors
OwnerHuman Resources & Legal
SourceHR Handbook v2.3, §11.6–11.7
ToleranceZero

On this page

  1. Our commitment
  2. Who this applies to
  3. Key definitions
  4. What is prohibited
  5. Gifts & hospitality
  6. Third parties & partners
  7. Reporting a concern
  8. Consequences

11.6 Our commitment

Tristha Global Pvt Ltd places the utmost importance on honesty and integrity in every business activity we undertake. We are committed against illegal payments and other corrupt practices in any form, in any market we operate in.

This policy sets out our approach to preventing bribery, corruption and money laundering, and the standards we expect from everyone who works for or represents the company.

Guiding principle: We do not offer, promise, give, request or accept anything of value in exchange for improper business advantage — directly or through anyone acting on our behalf.

11.6.1 Who this applies to

Our Anti-Bribery, Anti-Corruption and Anti-Money Laundering (ABC/AML) policy applies to all employees and directors of Tristha Global Pvt Ltd, without exception of seniority or role.

It also extends in spirit to anyone acting on the company’s behalf — including consultants, agents, contractors and business partners — who are expected to uphold the same standards when representing us.

11.6.2 Key definitions

Understanding these terms is the first step to recognising and avoiding a breach of this policy.

Bribery
An inducement, payment, reward or advantage offered, promised or provided to any person in order to gain any commercial, contractual, regulatory or personal advantage. It is illegal to directly or indirectly offer a bribe or receive a bribe.

Corruption
Wrongdoing on the part of an authority or those in power, through means that are illegitimate, immoral or incompatible with ethical standards. Corruption often results from patronage and is closely associated with bribery.

Money laundering
Disguising the origin of funds obtained through illegal activity so they appear to come from a legitimate source. AML controls exist to stop our business being used, knowingly or not, as a channel for this.

Facilitation payment
A small, informal payment made to secure or speed up a routine action a person is already entitled to. These are treated the same as bribes under this policy and are not permitted.

11.6.3 What is prohibited

The following are strictly prohibited, regardless of local custom, competitive pressure or business urgency:

  • Offering, promising or giving any bribe, kickback or improper payment to a public official, customer, supplier or any other individual.
  • Requesting, agreeing to receive, or accepting any bribe, kickback or improper payment.
  • Using a third party — an agent, consultant, distributor or intermediary — to do indirectly what the company cannot do directly.
  • Making or facilitating a facilitation payment of any kind, however small.
  • Processing, transferring or accepting funds where there is reasonable suspicion the source is illegitimate.
  • Turning a blind eye to any of the above, or failing to raise a genuine concern about them.

11.7 Gifts & hospitality

The practice of giving gifts and hospitality is recognised as an established and important part of doing business. Receiving or giving gifts or hospitality is acceptable under this policy only if all of the following requirements are met.

Acceptable gift or hospitality — all three must be true:

  1. No exchange intended — It is not made with the intention of exchange for favours, benefits, or for any other corrupt purpose.
  2. Never cash or a cash equivalent — It does not include cash or a cash equivalent, such as a gift voucher or certificate.
  3. Given openly — It is given openly, not secretly, and in a manner that avoids the appearance of impropriety.

If any one of these three conditions cannot be met, the gift or hospitality must be declined, returned, or — where appropriate — redirected through the correct approval channel before proceeding.

11.6.4 Third parties & business partners

We only work with third parties who share our commitment to ethical business conduct. Before engaging an agent, consultant, distributor or supplier who will represent us externally, reasonable due diligence should be carried out proportionate to the risk involved.

11.6.5 Reporting a concern

Anyone who suspects a breach of this policy — including a request for a bribe, an offer that seems improper, or suspicious financial activity — is expected to raise it promptly. Concerns raised in good faith are taken seriously, and the company does not tolerate retaliation against anyone who reports one.

How to raise a concern: Speak to your reporting manager, or contact Human Resources.

11.6.6 Consequences of non-compliance

Zero tolerance: A breach of this policy is treated as serious misconduct and may result in disciplinary action up to and including termination of employment or contract.

© Tristha Global Pvt Ltd — Anti-Bribery, Anti-Corruption & AML Policy · For internal and public reference

Conflict of Interest Policy

Governance & ethics policy · Handbook ref. 11.5

How Tristha Global Pvt Ltd expects employees to recognise, disclose and manage situations where personal interests could influence — or appear to influence — a business decision.

Applies toAll employees
OwnerHuman Resources & COO
Gift threshold₹500
When in doubtConsult your supervisor

On this page

  1. Definition
  2. Outside activities
  3. Customers, vendors & associates
  4. Gifts & the ₹500 rule
  5. Personal transactions & sponsored travel
  6. Disclosure & reporting
  7. Consequences

11.5 Definition

A conflict of interest can be defined as a situation that arises when a decision-making authority is seen to have a personal stake — tangible or intangible — in the outcome of the decision itself.

Employees of Tristha may find themselves in situations that are in the nature of creating a conflict of interest. A conflict does not have to be intentional or result in actual harm to the company to be a problem — even the appearance of one can undermine trust in a decision.

If in doubt: It is always best to consult your supervisor before taking any decision in situations that may involve a conflict of interest.

11.5.1 Participating in outside activities

Tristha recognises and respects the right of employees to take part in activities outside their jobs. However, these activities must be lawful and free of conflicts with their responsibilities as Tristha employees.

This includes outside employment, consulting, board positions, or business ownership that could compete with, draw on, or compromise the time and judgement owed to Tristha.

11.5.2 Relationship with customers, consultants, vendors and business associates

Employees are prohibited from entering into any kind of personal or business contracts with Tristha customers, a customer’s vendors, or Tristha vendors.

This applies regardless of whether the arrangement is disclosed informally to colleagues — it must be avoided altogether, not simply made known.

11.5.3 Gifts & the ₹500 rule

Employees are likely to be offered gifts of any nature during their dealings with customers, a customer’s vendors, or Tristha vendors. The following guidelines apply in all such cases.

Is this gift acceptable?

  • Acceptable: Small-value gifts in the nature of mementos and flowers during festive occasions.
  • Not acceptable (over ₹500): High-value gifts — those in excess of ₹500 — must be politely turned down and reported to the COO.

11.5.4 Personal transactions & sponsored travel

Employees are prohibited from doing any material or immaterial transactions with customers, business associates or vendors for personal use.

Employees are also prohibited from accepting trips or holidays, within India or abroad, sponsored by customers or vendors.

11.5.5 Disclosure & reporting

Where a high-value gift is offered, or an employee is unsure whether a situation amounts to a conflict of interest, it should be raised promptly rather than decided alone.

How to raise it: Speak to your supervisor in the first instance. High-value gifts that were declined must be reported to the COO.

11.5.6 Consequences of non-compliance

Zero tolerance: A breach of this policy is treated as serious misconduct and may result in disciplinary action up to and including termination of employment or contract.

© Tristha Global Pvt Ltd — Conflict of Interest Policy · For internal and public reference