JY Global Limited is a Cayman Islands incorporated compliance and governance advisory firm — supporting financial services, CFD, payments, digital asset and corporate clients across four jurisdictions.
JY Global Limited is a Cayman Islands incorporated compliance and governance advisory firm. We support financial services, CFD, payments, digital asset and corporate clients with non-legal compliance advisory and administrative coordination.
We maintain a network of independent professional contacts and service providers in selected jurisdictions — coordinating delivery without acting in any regulated capacity ourselves.
We focus where the regulatory contours, filings, and substance expectations are familiar to us — and turn away mandates where they are not.
Brokerages, funds, investment firms and asset managers.
Multi-asset CFD operators, retail FX brokerages and white-label introducers.
Payment institutions, e-money issuers and cross-border remittance.
Exchanges, custodians and VASPs working through jurisdictional licensing.
Holding structures, family offices and special-purpose vehicles.
A clear scope is the first thing a senior compliance counterparty checks. We state ours up front — no expanded mandate creep, no quiet rebadging of what we offer.
* Where legal, regulatory, financial, tax, accounting or audit advice is required, clients should obtain advice from appropriately qualified independent professionals. Any third-party services introduced or coordinated by JY Global Limited are provided under separate engagement terms between the client and the relevant third-party provider.
Initial conversations and ongoing reviews are with a named senior advisor — not a coordinator. Full biographies and credentials are being finalised and will be published here.
Lead advisor for entity structuring, beneficial-ownership compliance and registered office continuity across the Cayman Islands and Mauritius.
Lead advisor for FSC Mauritius licensing, MISA coordination and SVG market-conduct submissions for CFD, FX and digital asset operators.
Lead advisor for ongoing posture reviews, annual filings, board changes and substance maintenance for clients on long-term continuity engagements.
* Senior advisor biographies, headshots and full regulatory credentials (ICA, ACAMS, TEP, ACCA and jurisdiction-specific qualifications) are pending publication. Detailed profiles and direct contact pathways are available on request — please use the contact form below.
A senior advisor reviews your structure, jurisdiction options and regulatory exposure — and tells you honestly whether we're the right counterparty.