Fund Services

The administration of offshore and onshore funds represents one of our most important service areas. Our clients are international blue-chip corporate companies – including FTSE 100 companies, banks, pension funds, private equity and venture capital funds – and we currently have over US$60 billion of assets under administration across multi-jurisdictional structures.

We also provide Management Company (ManCo) services to fund managers of a broad range of regulated funds and structures. By taking care of your ManCo requirements, and ensuring full compliance with UCITS or AIFM for your fund, we aim to deliver complete peace of mind – for you and your investors.

What sets us apart is our experienced team, our flexibility and our solutions driven approach. We specialise in providing tailored services, and regularly partner with other financial institutions in order to help clients achieve their commercial goals. Our mission is to get it right first time.

The Crestbridge team has many years of experience in administering a wide range of asset classes including:

  • Private equity
  • Real estate
  • Mezzanine
  • Infrastructure
  • Fund of funds
  • Natural resources
  • Secondaries

Across a range of structure types including:


  • Limited partnerships
  • General partners
  • Incorporated partnerships


  • Limited liability
  • Limited by guarantee
  • Protected cell
  • Incorporated cell


  • Private trusts
  • Private trust companies
  • Property unit trusts
  • Unit trusts
  • Purpose trusts

Fund establishment

  • Co-ordinating the launch of the fund structure
  • Operating review of constitutional documents
  • Liaison between promoter, lawyers, regulators, tax advisors and auditors
  • Drafting operating procedures and SLAs
  • Provide operator, trustee and depository services
  • Continuity from the early stages to fund launch and on-going administration
  • Co-ordinating subsequent changes to the fund structure and operation
  • Advice on unusual transactions and events

Corporate governance and company secretarial

  • Tailored administration services to the fund, its holding vehicles and carry vehicles
  • Day-to-day administration of asset holding vehicles in multiple jurisdictions
  • Organising and attending board meetings and ancillary work
  • Arranging payments in accordance with fund documentation
  • Maintaining statutory registers and prime records
  • Ensuring local legal and regulatory compliance
  • Provision of regulated trustee services
  • Acting as an approved Jersey MoME (Manager of Managed Entity)

Fund accounting and financial reporting

  • Consolidated accounting and bespoke reporting services
  • Accounting for co-investment vehicles, carry and asset holding vehicles
  • Production of audited accounts
  • NAV, carry and incentive fee calculation
  • Reconciliation of fund assets
  • VAT returns and provision of tax data

Investor services

  • Tailored reporting services
  • Maintenance of registers
  • Distribution of investor communications
  • Co-ordinating subscriptions, commitments and drawdowns
  • Arranging payment of dividends, distributions and redemptions
  • Organising investor meetings

Compliance services

  • Provision of MLRO, MLCO and supporting functions
  • Tailored compliance review and reporting services
  • Arranging statutory filings
  • KYC/CDD collection and on-going monitoring
  • Communication with regulators

Trustee and director services

  • Provision of experienced directors in Jersey and Luxembourg including:
    - Qualified accountants
    - Chartered secretaries
    - Chartered surveyors
    - Specialist fund and capital market professionals
  • Panel of non-executive directors