In the world of alternative investments, private funds have become a vital vehicle for capital formation, wealth management, and institutional investment. These funds—whether structured as private equity, venture capital, hedge funds, real estate funds, or hybrid vehicles—operate in a highly regulated and nuanced legal environment. At Covenant Law Firm, we provide experienced legal counsel to fund sponsors, managers, institutional investors, and high-net-worth individuals across the full life cycle of private investment funds.
Our Private Fund Law practice combines transactional proficiency with deep knowledge of financial regulations and commercial strategy. We guide clients through fund formation, capital raising, regulatory compliance, governance structuring, and investor relations, ensuring every aspect of the fund’s operation is legally sound and commercially optimized.
A successful fund begins with the right legal foundation. Our firm advises clients on choosing the optimal legal structure and jurisdiction for their private fund—whether a limited partnership, limited liability company, trust, or offshore structure. We work closely with sponsors to structure funds that align with investor goals, tax strategies, and regulatory obligations.
We prepare and review all necessary formation documents, including:
Limited Partnership Agreements (LPA)
Private Placement Memoranda (PPM)
Subscription Agreements
Operating Agreements
Investment Management Agreements
Side Letters
Covenant Law Firm ensures these documents reflect a careful balance of legal compliance, investor protections, and sponsor flexibility. We tailor fund structures to suit asset classes, targeted investors, and geographic jurisdictions—whether launching a real estate opportunity fund in Africa or a fintech VC fund with cross-border exposure.
Private funds often operate in legal grey zones and under exemptions from public offering requirements. We help clients navigate the complex regulatory framework governing fund formation, offering, and operation. This includes:
Ensuring exemption from registration under securities laws (e.g., Regulation D, Rule 506, or local equivalents)
Drafting and filing disclosure documents with relevant regulators
Advising on Anti-Money Laundering (AML), Know Your Customer (KYC), and investor accreditation procedures
Navigating licensing requirements for fund managers, general partners, or investment advisers
Advising on local and offshore tax compliance obligations
Supporting compliance with Foreign Account Tax Compliance Act (FATCA), CRS, and similar global disclosure regimes
Whether your fund operates within Cameroon, across the African continent, or internationally, our firm delivers practical and current advice on staying compliant while raising and managing capital.
Once the fund is operational, we continue to advise on a wide range of day-to-day legal matters involving fund governance, portfolio company investments, investor relations, and risk management. Our team ensures that:
Management and performance fees are structured clearly
Capital calls and distributions are executed in accordance with governing documents
Conflicts of interest are disclosed and mitigated
Co-investment and carried interest arrangements are documented properly
Amendments to fund documents or material events are handled with legal precision
We also assist with the legal aspects of portfolio company investments, including due diligence, deal structuring, shareholder agreements, and exit strategies. This integrated approach means fund managers benefit from seamless legal support, from fundraising through to investment execution.
The relationship between a fund sponsor and its investors must be transparent, well-managed, and legally protected. Covenant Law Firm helps you maintain that balance through:
Drafting side letters and managing “most favored nation” (MFN) clauses
Structuring waterfall distributions and profit allocations
Advising on governance rights and reporting obligations
Resolving investor complaints, redemption disputes, or exit negotiations
If disputes arise between general partners and limited partners, or among co-investors, we provide skilled legal representation to protect your interests—resolving matters efficiently through arbitration, negotiation, or litigation if necessary.
We frequently advise on international fund structures, including those domiciled in leading fund jurisdictions such as Mauritius, the Cayman Islands, Luxembourg, and the British Virgin Islands. For cross-border funds, we coordinate with offshore counsel and regulatory bodies to ensure proper formation, tax planning, and investor protection mechanisms are in place.
This is especially crucial for funds attracting capital from international investors or deploying assets in multiple jurisdictions. Our global perspective ensures that your fund structure supports long-term operational and financial goals, while remaining compliant with international standards.
Private fund sponsors are increasingly facing pressure to incorporate Environmental, Social, and Governance (ESG) factors into their investment strategy. Covenant Law Firm is at the forefront of legal advisory for:
ESG fund formation and disclosure compliance
Impact investing models
Socially responsible investment fund strategies
Legal implications of ESG metrics and reporting frameworks
We help clients meet evolving investor expectations and regulatory requirements in these areas, ensuring their private funds remain competitive, compliant, and forward-looking.
If you need any helps, please feel free to contact us. We will get back to you with 1 business day. Or if in hurry, just call us now.
Call : (+237) 654-746-484 / 650-066-24
covenantlawf@gmail.com Mon – Fri 09:00-17:00
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