Equity Trust`s Corporate Services team provides the full range of services required to establish and manage onshore corporate entities. We offer management and administrative support to large (stocklisted) corporations, financial institutions, international private equity, venture capital and real estate managers, wealth managers and multinational private clients.
Our team of international specialists arranges for the seamless execution of tax, legal and financial services provided by third parties and offers the full range of statutory and administrative services in order to establish and maintain corporate entities in a wide variety of jurisdictions to help you meet your corporate and compliance requirements.
These services include incorporation and domiciliation of companies,provision of directors and officers, accountancy and ongoing administrative reporting, assistance to auditors and tax counsel, corporate secretarial support and regulatory compliance focussed on covering every aspect of day-to-day management of onshore companies.
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| Real estate servicesWe have developed dedicated international teams of real estate specialists who will help you implement and maintain your tax efficient cross-border real estate investment structures. In addition to the previously mentioned services we provide structuring input, customised accountancy and bookkeeping services and reviewing and execution of real estate transaction documents. In co-operation with our funds services division, Custom House, we are able to provide the full range of administrative (fund) services covering all aspects of a real estate investment fund structure from fund to local SPVs.
Our real estate fund services comprise fund establishment, fund accounting and valuations, calculation of net asset value, registrar and transfer agency services, reconciliation process services with custodian and brokers, preparation of portfolio valuation reports and other reporting, processing of dealing transactions (subscriptions, redemptions, transfers, switches), preparation of investor statements and reports and performance of anti-money laundering and investor identification checks.
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