GET TO KNOW US
PIM Capital was launched in 2014 by the stakeholders of the Prime Financial Services Group in South Africa to enable the offshore fund requirements of wealth & asset managers and independent financial advisors across Sub-Saharan Africa.
The business has since evolved to meet the needs of clients in different jurisdictions across various fund structures and mandates. From traditional to alternative funds, open and closed ended, PIM Capital is a solution driven partner, enabling our clients to focus on their core competencies.
WHAT WE DO
We leverage incredible people, strong processes and leading technology to provide best of breed administration and oversight across a spectrum of complex funds and asset classes.
Fund Structuring, Accounting & Investor Servicing
We provide bespoke fund solutions, typically including fund accounting and NAV calculations, shadow NAV services, transfer and paying agency as well as FATCA, CRS and regulatory reporting.
Regulatory Compliance and Risk Reporting
Our compliance function encompasses all regulatory aspects of the launch and ongoing operations of a fund, from investor and supplier onboarding and AML/CFT procedures to transaction monitoring and mandate compliance.
Fund Management and Oversight
Our bespoke fund oversight and management function ensures robust monitoring of the fund service providers and ensures accountability. We facilitate trading, settlement and cash management functions within given mandates.
GLOBAL PRESENCE
LOCAL EXPERTISE
Present in multiple jurisdictions, we are well placed to enable our clients wherever they may be. Our turn-key yet bespoke solutions are what differentiate us from the wider industry.
PIM Capital is regulated in multiple jurisdictions, our team across two locations in Mauritius forms the operational cornerstone of our global service offering.
Mauritius
Regulated Retail & Expert CIS (approved for distribution in South Africa)
Guernsey
Authorised open ended Class B Scheme (approved for distribution in South Africa)
British Virgin Islands
Prime Fund Services (BVI) Ltd
Approved Investment Administrator (Mutual Funds)
SENIOR
MANAGEMENT
Muntasir Peeroo, BSc (hon), FCCA
Group Head of Finance
Muntasir is a Chartered Accountant with over a decade of experience in accounting and finance. He was previously a senior audit executive at Deloitte Mauritius where he was responsible for the audits of a diverse portfolio of companies. He then moved to Weston International Capital Ltd as VP of Finance where his duties included complex financial reporting and modelling, statutory reporting and fund accounting for multiple closed ended funds. Prior to joining PIM, Muntasir was a senior officer at Alter Domus Mauritius where he was accountable for a team of fund accountants as well as preparation of reporting and accounts for various fund structures and their CIS managers.
Stephan Hartzenberg, CFA, MCom (Finance)
Managing Director
Stephan began his career as an equity and fixed income derivatives dealer and research analyst at RidgeCape Capital. He then joined 10X Investments as Head of Product Development and Portfolio Manager and was also appointed managing director of the unit trust business, accountable for all CIS related operations as well as retirement and life products. Stephan Joined PIM in 2020 as Managing Director to expand the group’s global footprint. Stephan is based in Mauritius.
Yajna Basant Rai, BSc (hon), AICA, MMIoD
Group Compliance and Governance
Yajna began her career as a Company and Trust Administrator at Mauritius International Trust Company Limited, overlooking a portfolio of clients including Global Business Companies, and CIS funds. Yajna then joined MITCO Fund Services Ltd as a Fund Administrator, following which she was appointed as the Executive Assistant of the CEO of Mauritius International Trust Company Limited. Yajna joined PIM in 2020 as the Operations Officer and was thereafter also appointed as the Compliance Officer.