VCC knowledge centre
Singapore VCC setup and planning guides
Explore setup requirements, costs and timelines, family-office VCCs, 13O and 13U, your own licence versus an existing fund manager, and ongoing compliance.
When a VCC Fund Manager Loses Permissible Status
A board response plan for a Singapore VCC manager status loss: verify the trigger, contain activity, appoint a valid successor and reconcile every record.
Close One VCC Sub-Fund and Keep the Umbrella
Close an inactive Singapore VCC sub-fund without disrupting the umbrella. Use this board checklist for assets, liabilities, tax, records and ACRA filing.
Build a Decision-Ready VCC Board Agenda and Evidence Pack
Use this VCC board agenda and evidence-pack framework to turn manager reports, sub-fund risks, approvals and action tracking into defensible oversight.
Change a VCC Fund Administrator Without Losing Control
Change a VCC fund administrator with a controlled inventory, parallel reconciliation, cutover acceptance test and evidence-backed handover for every sub-fund.
VCC Share Classes or Sub-Funds: Choose the Right Layer
Choose between a VCC share class and sub-fund by testing mandate, asset and liability separation, investor economics, contracts, reporting and operating controls.
Before Offering VCC Interests to Accredited Investors
This readiness framework before offering VCC interests to accredited investors: classify the offer, align documents, control distribution and evidence CISNet status.
Family-Office VCC: Board or Investment Committee Decision?
Map family-office VCC decisions across the board, investment committee and fund manager with a practical scenario, conflict controls and an evidence trail.
Allocate Shared Costs Across VCC Sub-Funds
Build a fair, repeatable policy for allocating shared VCC costs across sub-funds, with cost drivers, approvals, exceptions and reconciliation controls.
Correct a VCC NAV Error Without Losing Control
Contain and correct a VCC NAV error with a practical escalation checklist covering dealing, recalculation, investor impact, approvals and evidence.
Verify a VCC Fund Manager Before Appointment
Verify a proposed Singapore VCC fund manager by matching identity, MAS status, permitted activity, contract scope, key people and ongoing monitoring evidence.
Approve Related-Party Investments in a Family VCC
Use a worked family-VCC scenario to identify conflicts, test mandate fit, obtain independent evidence, control recusals and preserve an approval record.
Control VCC Side Letters Before They Fragment the Fund
Decide when a VCC investor request belongs in a side letter, share class or fund document, then control approval, disclosure, implementation and monitoring.