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About Us

Preemptive Strategies Limited

We are professional service provider, offering a one-stop solution for fund services to save your precious time.  We focus on how to create values, solve problems and overcome obstacles for our valuable clients so that they can thrive in the current changing business environment.

According to Oxford Advanced American Dictionary, “Preemptive” or “Preempt” has a meaning of preventing something from happening by taking action to stop it.  The word perfectly describes our core value and our attitude towards our valuable clients.  We will not let a problem materialize by thinking a step further and taking a necessary action on your behalf.

We are a team of professionals possessing solid knowledge of a wide range of investment & financial products and experience in fund administration, fund structuring, account & audit and company secretarial services.  We have strong connection with other professional parties, enabling all of us marry together to work with one direction.  Our team is detailed-oriented and strong in analytical and problem-solving.  We keep abreast of changes and development on market practice and ensure our advices are the most efficient and effective.

Our group consists of two companies Preemptive Strategies Limited (TCSP license: TC008159) and Preemptive Fund Service Limited (TCSP license TC007084).

What We Offer

Fund Administration

  • Perform fund valuation and net asset value reconciliation
  • Handle enquiries from fund manager and other personnel in an efficient manner
  • Work closely with traders and managers on portfolio and profit or loss inquiries
  • Assist cash management and expenses payment of the funds
  • Review and process subscription and redemption activity in a timely manner
  • Review and keep the register of shareholders of the fund up-to-date
  • Perform AML and world check screening

Account & Audit

  • Prepare financial statements and necessary filings with auditors, regulators and tax authority
  • Support preparation of fund investor statements and tailor-made client reports
  • Perform general ledger, transaction input, trade booking, cash and positions reconciliation
  • Assist in security price, exchange rates uploading and corporate action update process and check for any variances
  • Liaise with auditor on fund audit

Fund Structuring

  • Assist in pre-launch phase of special purpose vehicle, launching of new fund and review operational procedure
  • Assist in review of fund documents, operating memorandum and pricing policy
  • Assist in opening fund bank accounts
  • Assist in identifying risk areas and suggest plausible mitigations

Company Secretarial Services

  • Perform company secretarial tasks for Hong Kong and offshore companies
  • Provide registered office
  • Prepare and file required company registry forms within prescribed time limits
  • Forward all correspondences received in accordance with a client’s instructions

Contact Us


Unit E, 43/F, Enterprise Square Three, No. 39 Wang Chiu Road, Kowloon Bay, Kowloon, Hong Kong