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Insights from offshore law firms, covering regulations, compliance, and legal strategies for international businesses, asset protection and wealth management.

Article
Cayman Fund Compliance For Managers
Cayman Islands investment funds face a complex web of annual compliance obligations that extend far beyond the traditional 30 June deadline. From January fee payments through mid-year audit filings to summer tax reporting requirements, fund operators must coordinate multiple stakeholders and overlapping workstreams to avoid last-minute pressures. Understanding how to structure an effective compliance calendar can transform regulatory obligations from reactive crisis management into proactive operational eff
Cayman Islands Finance
SH
Stuarts Law
Article
Jenec: The Limits Of Automatic De-Risking In EU Banking Law
On 11 June 2026, the Court of Justice of the European Union (the “Court”) delivered its judgment in Case C-81/24, Jenec. The case concerned the relationship between the right of access to a payment account with basic features under Directive 2014/92/EU (the “Payment Accounts Directive”) and the AML/CFT obligations imposed on financial institutions under Directive (EU) 2015/849 (the “AML Directive”).
Cyprus Finance
EN
Elias Neocleous & Co LLC
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