Fund Structures & Governance
Establishing, governing and supervising collective investment vehicles under Egyptian regulation.

Programme overview
Built for professionals who launch or oversee funds: legal form, licensing route, service provider appointments, fee structures and the governance evidence supervisors expect to see.
Uses real prospectus and board pack templates, reviewed clause by clause.
Key learning outcomes
- 01Compare open-ended, closed-ended and private fund structures
- 02Map the licensing and approval pathway end to end
- 03Draft core prospectus and fund rule clauses
- 04Define custodian, administrator and auditor responsibilities
- 05Design fee, valuation and conflict of interest policies
- 06Run an effective fund board and supervisory committee
Curriculum
Structures
Legal forms, unit classes and cross-border considerations.
Licensing
Application file, approvals and launch conditions.
Service providers
Custody, administration, audit and delegation control.
Governance
Board composition, minutes, conflicts and investor rights.
Ongoing supervision
NAV oversight, reporting timetable and breach handling.
Prerequisites, assessment & certification
Prerequisites
Experience in asset management, custody or fund legal work.
Assessment
Governance file review exercise.
Certification
Counts toward the Asset Management Certification.
Other programmes in this track
Reserve a place on the next cohort
Member firms receive preferential rates and can nominate delegates directly through the secretariat. In-house delivery is available for cohorts of ten or more.