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Services / Tailored Business Solutions / Cayman Fund

Cayman Fund

The Cayman Islands is one of the world’s leading jurisdictions for offshore fund formation, widely used for hedge funds, private equity, venture capital, private credit, real estate, feeder funds, SPVs, and co-investment structures.

Strategic Advantages

An internationally recognised fund platform for global investment managers, family offices, and cross-border capital structures.

Structure Design

We help clients assess suitable Cayman fund structures, including Exempted Companies, Exempted Limited Partnerships, Segregated Portfolio Companies, Unit Trusts, LLCs, master-feeder structures, SPVs, and co-investment vehicles. The structure is designed around the fund strategy, investor base, liquidity terms, governance model, tax considerations, and cross-border investment objectives.

Compliance & Advisor Coordination

We coordinate key setup and compliance workstreams, including fund registration or exemption positioning, offering documents, subscription materials, AML / KYC procedures, FATCA / CRS classification, accounting, audit, valuation, investor reporting, and economic substance considerations where applicable. For specialist matters, we liaise with qualified Cayman legal, tax, regulatory, audit, fund administration, and banking professionals.

Unified Execution

We connect Cayman fund planning with entity formation, registered office and registered agent coordination, fund administrator liaison, bank and custodian account setup, accounting and audit coordination, investor onboarding support, regulatory filing coordination, document execution, and ongoing offshore fund administration.

Offshore Asset Management

Cayman Fund Formation & Administration

Cayman fund vehicles are well recognised by global investors, fund managers, banks, administrators, auditors, and legal advisors. They offer flexible fund structuring, investor familiarity, and strong market acceptance for cross-border investment strategies.

Cayman funds are commonly structured based on investment strategy and liquidity profile. Open-ended funds are often used for hedge funds and liquid strategies, while closed-ended funds are commonly used for private equity, venture capital, real estate, private credit, and long-term investment strategies.

Jenga supports fund managers, founders, family offices, and investment platforms in planning and coordinating Cayman fund structures. With our group presence in the Cayman Islands and Singapore-based execution platform, we help clients manage formation, service provider coordination, investor onboarding, compliance administration, and ongoing fund operations more efficiently. Where formal legal, tax, regulatory, audit, or fund administration advice is required, we coordinate with qualified professional advisors.

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Our Execution Process

An institutional-grade timeline for offshore capital formation.

1

Architecture Design

2

Registrar Filing

3

CIMA Registration

4

AML Officer Setup

5

ES Monitoring