© 2025 MergersCorp M&A International.
© 2025 MergersCorp M&A International is a global brand operating through a number of professional firms and constituent entities (“Members”) located throughout the world to provide Investment Banking, Corporate Finance, and Advisory Services and other client-related professional services. The Member Firms (“Members”) are constituted and regulated in accordance with relevant local regulatory and legal requirements. For more details on the nature of our affiliation, please visit our Disclaimer: https://mergerscorp.com/disclaimer. MergersCorp M&A International's franchising program is not offered to individuals or entities located in the United States.
The franchising program is offered by MergersUK Limited, a UK Company with its registered office at 71-75 Shelton Street, Covent Garden, London, WC2H 9JQ, United Kingdom.
MergersCorp M&A International provides strategic business advisory services, including preparing companies for growth and capital access. Through partnerships with licensed investment bankers, clients can access tailored capital-raising solutions.
U.S. Investment Banking Securities transactions are exclusively conducted by Spektrum Capital Advisors LLC, a Registered Representative of, and Securities Products offered through, BA Securities, LLC, a FINRA-registered broker-dealer. Check the background of investment professionals associated with this site on Broker Check.
The Fund has appointed a Singaporean investment manager and fund administrator, licensed with the Monetary Authority of Singapore and has bank accounts set up in with one of the leading financial institutions in Singapore.
A flexible structure exists with the Singapore investment manager which allows the acquirer to manage each Fund at its discretion, with bank accounts are set up under a joint signatory structure with the Fund owners and IM.
The Fund Administrator also has a unique digital eKYC platform to allow the Fund to accept subscriptions in cryptocurrencies (e.g. USDT, Bitcoin etc) if required, in addition to most fiat currencies. In acting for the Fund, the Administrator’s responsibilities include:
The Fund also retains the following leading service providers in the Cayman Islands to ensure compliance with Cayman Mutual Funds law:
This is a turnkey, fully operational Cayman fund structure with all core service providers in place and regulatory requirements met. With established banking, administration, compliance, and investment management relationships already in place, the Fund offers a ready-made platform for launching investment strategies without the delays. The Fund has been designed to enable a seamless transition to new ownership, allowing an acquirer to begin accepting investor subscriptions immediately upon completion.
Corporate Directory | |
Company Name | XXXXXXXXXXXXX SPC |
Registered Address | XXXXXXXXXX, Grand Cayman, KY1-9010, Cayman Islands |
Jurisdiction of Incorporation | Cayman Islands |
Company Registration Number | XXXXXXXXXX |
Legal Entity Identifier (LEI) | XXXXXXXXXX |
Fund Type | Mutual Fund (regulated) |
Regulator | Cayman Islands Monetary Authority (CIMA) |
Licence Number | XXXXXXXXXX |
Investment Manager (IM) | XXXXXXXXXX |
IM Regulator | Monetary Authority of Singapore (MAS) |
Fund Administrator | XXXXXXXXXX |
Fund Auditor | XXXXXXXXXX |
AML | XXXXXXXXXX |
Legal Counsel | |
Directors of the Fund | XXXXXXXXXX |
Bank Name | XXXXXXXXXX |
Bank Address | XXXXXXXXXX Singapore |
© 2025 MergersCorp M&A International is a global brand operating through a number of professional firms and constituent entities (“Members”) located throughout the world to provide Investment Banking, Corporate Finance, and Advisory Services and other client-related professional services. The Member Firms (“Members”) are constituted and regulated in accordance with relevant local regulatory and legal requirements. For more details on the nature of our affiliation, please visit our Disclaimer: https://mergerscorp.com/disclaimer. MergersCorp M&A International's franchising program is not offered to individuals or entities located in the United States.
The franchising program is offered by MergersUK Limited, a UK Company with its registered office at 71-75 Shelton Street, Covent Garden, London, WC2H 9JQ, United Kingdom.
MergersCorp M&A International provides strategic business advisory services, including preparing companies for growth and capital access. Through partnerships with licensed investment bankers, clients can access tailored capital-raising solutions.
U.S. Investment Banking Securities transactions are exclusively conducted by Spektrum Capital Advisors LLC, a Registered Representative of, and Securities Products offered through, BA Securities, LLC, a FINRA-registered broker-dealer. Check the background of investment professionals associated with this site on Broker Check.
This website is operated by MergersUS Inc a US Corporation with registered office at
Notifications
Description
The Fund has appointed a Singaporean investment manager and fund administrator, licensed with the Monetary Authority of Singapore and has bank accounts set up in with one of the leading financial institutions in Singapore.
A flexible structure exists with the Singapore investment manager which allows the acquirer to manage each Fund at its discretion, with bank accounts are set up under a joint signatory structure with the Fund owners and IM.
The Fund Administrator also has a unique digital eKYC platform to allow the Fund to accept subscriptions in cryptocurrencies (e.g. USDT, Bitcoin etc) if required, in addition to most fiat currencies. In acting for the Fund, the Administrator’s responsibilities include:
The Fund also retains the following leading service providers in the Cayman Islands to ensure compliance with Cayman Mutual Funds law:
This is a turnkey, fully operational Cayman fund structure with all core service providers in place and regulatory requirements met. With established banking, administration, compliance, and investment management relationships already in place, the Fund offers a ready-made platform for launching investment strategies without the delays. The Fund has been designed to enable a seamless transition to new ownership, allowing an acquirer to begin accepting investor subscriptions immediately upon completion.
Keypoints
Basic Details
Target Price:
$750,000
Business ID:
L#20250947
Country
Cayman Islands
City:
Grand Cayman
Detail
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