Guidelines

What is Alter Domus?

What is Alter Domus?

Alter Domus is a fully integrated alternative service provider dedicated to serving private equity, real assets, and debt capital markets sectors. We offer tailor-made administration solutions across the entire value chain of investment structures, from fund level down to local special purpose vehicles.

What kind of company is Alter Domus?

fully integrated fund and corporate services provider
Alter Domus is a Luxembourg, Luxembourg-based fully integrated fund and corporate services provider founded in 2003. The firm specializes in providing fund administration, corporate secretarial, accounting, consolidation, tax and legal compliance, depository, and debt administration services.

Who owns Alter Domus?

Dominique Robyns
Dominique Robyns is the Founder of Alter Domus.

Is Alter Domus listed?

Alter Domus (Jersey) Listing Services Limited was approved as a Category 1 & 2 Listing Member of The International Stock Exchange (TISE) at the end of 2018.

How many people work Alter Domus?

Alter Domus Global Get-Together Marks Growth And Success Milestones – 15 Years, 2,000 Staff, One Cruise –

How many employees does Alter Domus have?

Alter Domus (us) LLC has 14 total employees across all of its locations and generates $27,976 in sales (USD).

Is Alter Domus a good place to work?

Alter Domus has a great environment to work in. Benefits package is good and they really care about the happiness of their employees. Sometimes the hours can be long and the work stressful depending on client deadlines. It comes with the territory of the work but it’s not always fun.

What does Aztec group do?

Aztec Group delivers award-winning fund and corporate services to the alternative assets industry from key onshore and offshore jurisdictions in Guernsey, Jersey, Luxembourg, the Netherlands and the United Kingdom.

Why is fund administration important?

Fund administration encompasses the back-office and some middle-office functions necessary to successfully support the operations of a fund, including fund accounting services, recordkeeping, financial reporting, audit and tax return support, capital call and distribution processing, compliance and risk management …