Licenses & Regulatory Credentials
Operating with Full Legal Authorization
Regulatory Integrity Across Borders
ZANJS is committed to the highest levels of transparency, legal standing, and regulatory oversight. Our firm holds all necessary registrations and licenses to operate as a cross-border financial advisory entity , serving clients across the United States, Europe, Asia-Pacific, and beyond.
We maintain full compliance with U.S. federal and state regulations, and global anti-money laundering (AML) standards. Our goal is to ensure every cross-border clearing and transaction strictly adheres to regulatory requirements.
ZANJS Securities Ltd. is a full-fledged securities institution founded in New York in 2021. The company strictly adheres to U.S. financial regulatory requirements, holding both SEC Registration and a FinCEN MSB License, and was launched with $50 million in registered capital. This confirms the company’s lawful establishment and ongoing compliance with state reporting, taxation, and governance requirements.
- Securities Brokerage and Advisory Services
- Investment Management and Portfolio Allocation
- Execution of Cross-Border Financial Transactions
- Strict Anti-Money Laundering (AML) Compliance Oversight
- Financial Risk and Regulatory Reporting
All ZANJS operations are fully aligned with the Bank Secrecy Act (BSA) and subject to Anti-Money Laundering (AML) and Countering the Financing of Terrorism (CFT) oversight. We maintain internal reporting systems, training programs, and transaction monitoring in compliance with FinCEN regulatory standards.
- Advisory services for U.S. and foreign qualified investors.
- Portfolio management for equities, ETFs, and derivatives.
- Investment planning, tax efficiency, and trust structuring.
- Institutional and family office advisory mandates.
- Execution of ultra-low latency cross-border transactions
Our firm operates in full compliance with the Investment Advisers Act of 1940, maintaining documented policies, audited reporting procedures, and disclosures as required by federal law. All ZANJS investment services operate strictly under the SEC regulatory framework to ensure the highest standards of client protection and asset security.
ZANJS operates under a robust regulatory structure, centered on U.S. SEC Registration and commitment to global compliance. Our cross-border services are built on a zero-tolerance approach to technology, security, and integrity.
Our Compliance Philosophy
We view licensing not as a checkbox, but as the foundation of trust. Our entire business model is designed around verifiability, client protection, and legal soundness. Every service we offer—advisory, execution, or structuring—is grounded in legal clarity and cross-jurisdictional accountability.
For additional documentation or due diligence materials, please contact our compliance office.