30+ YEARS OF GROUP HISTORY
Regulation & Compliance
Regulated. Audited. Accountable.
Q Trustees AG is licensed by FINMA as a trust company, one of a limited number of such licenses issued in Switzerland. Our operations are subject to ongoing regulatory supervision and an independent annual audit.
Trusted and Transparent Wealth Structuring under FINMA Regulation
As a FINMA-regulated trust company, Q Trustees AG adheres to the highest levels of integrity, transparency, and compliance. Our regulatory oversight ensures that your trust structures are managed within a secure and robust framework, safeguarding your assets and interests.
Supervisory Organisation
Q Trustees AG is supervised by OSFin Control AG, a FINMA-approved supervisory organisation responsible for ensuring that regulated financial intermediaries in Switzerland operate in compliance with applicable anti-money laundering legislation and the broader requirements of Swiss financial markets law.
OSFin Control AG | www.osfincontrol.ch
General-Guisan-Strasse 6
6300 Zug
T: +41 41 767 36 00
info@fincontrol.ch
Annual Independent Audit
Q Trustees AG’s operations and financial statements are reviewed annually by SWA Swiss Auditors Ltd, an independent external audit firm. This audit function provides clients with assurance that the firm’s operations meet the requirements applicable to FINMA-licensed trust companies, verified independently, every year.
SWA Swiss Auditors Ltd | www.swa-audit.ch
Bahnhofstrasse 3
P.O. Box 347
CH-8808 Pfäffikon SZ
Switzerland
Tel +41 (0)55 415 54 70
info@swa-audit.ch
What This Means for Clients
When you appoint Q Trustees as your trustee, you are appointing a FINMA-licensed entity subject to independent annual audit and ongoing regulatory supervision. That standard of oversight matters, particularly for structures that are expected to endure across decades and generations.