Compliance & Regulations

We operate under strict regulatory oversight to protect our clients and maintain the highest standards.

Regulatory Oversight

FINMA

Licensed by the Swiss Financial Market Supervisory Authority (FINMA). We comply with all Swiss banking regulations and international standards.

License #: CH-GIF-2020-001

Compliance Standards

We maintain strict compliance with AML, KYC, and CRS requirements. Regular audits ensure adherence to all regulations.

Certified & Audited Annually

Compliance Areas

Anti-Money Laundering (AML)

We implement comprehensive AML policies to prevent illegal financial activities and money laundering.

Know Your Customer (KYC)

Comprehensive client verification procedures to ensure identity and legitimacy of all account holders.

Common Reporting Standard (CRS)

We comply with international tax reporting standards and provide required information to tax authorities.

Sanctions Screening

All transactions screened against international sanctions lists and high-risk jurisdictions.