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Sustainable, solution-oriented compliance consultancy to the Seychelles financial services industry combining best of breed technology with profound compliance services and regulatory expertise.
Albright Compliance Advisors supports companies through holistic Outsourced compliance services, Corporate Governance Consultancy, Corporate Secretarial and Administration Services, Financial Services License Application, Accounting and Auditing Services and building employee capacity to maintain adequate safeguard and reporting standards
Reinforce your company’s focus on its purpose and value delivery as we take charge of your compliance culture and governance quality assurance.
Our range of services is designed to capture the needs of your organisation, provide a stress-free experience and maximise your company’s compliance regimes.
Outsourcing your compliance responsibility is a cost-effective way to ensure adherence to relevant legislation and regulatory requirements as well as maximising focus on your company’s strategic objectives.
We contribute towards an organisation’s governance framework through Strategic Governance Advisory Services and the implementation of Corporate Governance Codes.
Corporate Secretarial & Administration services to optimise the company’s governance framework, from its inception, through partnerships, corporate restructuring and perpetual maintenance..
We facilitate financial services licensing applications. This includes securities dealers’ licenses, investment advisor licenses, fund licenses, insurance licenses, and Banking licenses.
We inform organizations on the adequacy of their internal controls and identify strengths and weaknesses in your organizations finances through performance of statutory audit , internal audit and management audit.
We develop professionals who are resilient to the ever-challenging emerging regulatory environment and Anti-Money Laundering (AML) risks.
We serve all types of businesses, from sole traders, partnerships, limited liability companies in the financial sector. Always proactive in addressing clients’ needs by developing and maintaining high-quality compliance programs focused on each firm’s regulatory requirements, business demands, and operational challenges. Our expertise and experience is in working with securities dealers, investment advisors, gaming providers, insurance companies and banks.