Fund accounting

At JLSK, we recognize the vital role of accurate and transparent fund accounting in the success of your investment ventures. Our tailored solutions cater to the unique needs of each client, providing the precision and clarity required for effective financial management.

Comprehensive Fund Accounting Solutions

We offer a range of fund accounting services designed to simplify complex processes, allowing you to focus on what matters most—growing your investments.

Accurate Net Asset Value (NAV) Calculation

Our expert team ensures precise NAV calculations using the industry-leading software, PFS-Paxus. With meticulous attention to detail, we provide accurate calculations that give you and your stakeholders a real-time view of your fund’s performance, supporting better decision-making.

Transaction Processing and Record-Keeping

Streamline your fund’s transaction lifecycle with our efficient processing and thorough record-keeping. Our advanced systems ensure that every transaction is recorded with precision, providing a complete and up-to-date financial overview.

Financial Reporting Excellence

Enhance the transparency of your fund’s financial health with our detailed reporting services. We produce customized financial reports and manage regulatory filings to ensure your fund’s performance is both clear and compliant with industry standards.

Expense Tracking and Management

Optimize your fund’s financial efficiency through our expense tracking services. We monitor and manage your expenses closely, helping you to minimize costs and maximize returns.

Tax Compliance and Reporting

Our tax experts assist in navigating complex tax regulations to ensure full compliance with local and international requirements. We handle all aspects of tax reporting, giving you peace of mind during tax season and throughout the year.

With our expertise in fund accounting, we provide reliable, tailored services that enhance the operational efficiency of your fund. Trust JLSK to deliver accuracy, transparency, and exceptional support in every aspect of fund accounting.

Contact us today to learn how our Fund Accounting Services can provide the precision and clarity your investments need to thrive.

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Particular Case
The Regulatory Sandbox License (RSL) allows an investor to undertake a commercial activity for which there is no legal structure or suitable regulations under Mauritius' existing legislation. The RSL will be provided by the Economic Development Board to qualifying firms that want to invest in innovative projects for a fixed amount of time under a set of agreed upon terms and conditions.

Eligibility
Any investor with an innovative concept for which there is no legal framework or sufficient measures to cover its materialization can submit a full application for the issuance of an RSL. The applicant must be able to demonstrate the creative character of the project on a local, regional or global scale.