Home

About Us

Services

Accounting

Finance

Consulting

Back Office

Partner

Offshore Funds

Fund Admin.

Compliance

Client Profiles

Relationships

Contact Us

 

 

 

 

 

 

 

 

 

 

 

 

 

Accounting for Offshore Funds
 


Accounting for Offshore Funds: Provide offshore administration to offshore funds which includes:
  • Calculate share NAV on Fund
  • Monitor Offshore Compliance and Patriots Act
  • Maintain Share Register
  • Provide NAV Statements to Shareholders on a monthly, quarterly or annual basis

 

Copyright 2005 Partnership Financial Consulting, LLC