You are the investor. We are your local asset manager.
We source, diligence, and monitor under your mandate, with reporting designed for institutional oversight.
Engagement that preserves your control
You retain investment authority. We execute locally.
Decision rights
Investor-owned
Execution
PFC-led, on the ground
Reporting cadence
Structured and periodic
Confidentiality
Controlled channels only
Origination, diligence, monitoring, and execution under one local operating model.
1. We find the deals
Local pipeline sourcing aligned to mandate filters.
2. We do the heavy lifting
Diligence, structuring, and compliance completed on the ground.
3. We manage the portfolio
Quarterly monitoring, risk escalation, and reporting cadence.
4. We work silently
Confidential execution with no co-branding requirement.
Operational windows and accountability
Standard lanes follow 24h/5d/2d windows. Patient-capital lanes can extend where investee readiness requires structured technical assistance and blended-finance sequencing.
Intake and origination
Identity checks, mandate fit, and ownership assignment.
Target window: 24 hoursDue diligence
Commercial, legal, and operational review under controlled disclosure.
Target window: 5 business daysCommissioning
Access, kickoff, and governance handoff with monitoring cadence set.
Target window: 2 business daysFlexible, transparent, and aligned with investor objectives.
Project-Based
Scoping, due diligence, or targeted transaction support for specific investments.
Retainer
Ongoing portfolio management, monitoring, and investor reporting.
Success-Aligned
Performance-based fees subject to agreement and guided by clear metrics.
Fee transparency
All fees are agreed upfront. No equity. No co-branding. Just results.
Full Due Diligence
$10,000 - $25,000 per transaction scope depending on complexity, sites, and legal workload.
Pipeline Development
$15,000 - $25,000 for mandate-specific origination and screening assignments.
Quarterly Monitoring
$5,000 - $10,000 per quarter for reporting, site review, and risk escalation support.
Capability statement
Download our investor capability statement to review our service model, track record, and execution approach.