Venture Capital

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International Venture Consultants

Venture International is a training and consulting firm for all types of businesses, supporting organizations across the Middle East and beyond.

International Venture Consultants

Venture International is a training and consulting firm for all types of businesses, supporting organizations across the Middle East and beyond. Its focus is delivering high-quality, results-driven services in business consulting, organizational development, and professional training. It also provides professional services to the humanitarian and development sector, including monitoring and evaluation, training, and consulting.

General information

Firm type

Venture Capital

Year founded

2007

Location

Region

Europe

Country

Spain

City

Madrid

Corporate office

Madrid, Spain

Principals

Mr. Bassam Al Rifai

Managing Partner - Senior Consultant & Trainer

Dr. Maher Alkhadra

Managing Partner - Chief Consultant & Trainer

Mr. Mazen Haffar

Managing Partner, Chief Consultant & Trainer

Mr. Ahmad Al Bourghli

Senior Consultant & Trainer

Frequently asked questions

What services does International Venture Consultants provide?

The firm provides fund administration services including fund accounting, net asset value calculation, capital call and distribution processing, and investor reporting. These services allow investment managers to outsource the operational and regulatory functions required to maintain a fund vehicle while focusing on investment decisions.

Where does International Venture Consultants operate?

The firm is headquartered in Madrid, Spain, and serves investment firms across Europe. Madrid's position as a growing financial services center within the EU provides access to firms navigating regulatory frameworks across multiple European jurisdictions.

What types of funds does International Venture Consultants administer?

As a fund administrator serving the private markets, the firm works with venture capital and private equity funds that require ongoing calculation of net asset values, processing of investor capital activity, and maintenance of fund records for regulatory audits and investor distributions.

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