Q WEALTH AG
Regulation & Compliance
Regulated. Audited. Accountable.
Q Wealth AG is supervised by AOOS (Schweizerische Aktiengesellschaft für Aufsicht), a supervisory organisation approved by FINMA, and operates in full compliance with the applicable requirements of Swiss financial markets law.
Supervisory Organisation
Q Wealth AG is supervised by AOOS (Schweizerische Aktiengesellschaft für Aufsicht), 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.
AOOS | www.aoos.ch
Clausiusstrasse 50
8006 Zurich
Tel: +41 44 215 98 98
Email: info@aoos.ch
Annual Independent Audit
Q Wealth AG's operations and financial statements are reviewed annually by an independent external auditor. This audit function provides clients with assurance that the firm's operations meet the requirements applicable to supervised financial intermediaries in Switzerland.
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
Email: info@swa-audit.ch
What This Means for Clients
When you appoint Q Wealth AG as your wealth manager, you are working with a firm subject to independent supervision and annual audit under Swiss financial markets law. That standard of oversight matters, particularly for families whose wealth is complex, cross-border, and intended to endure across generations.