Cross-border execution, custody and institutional-grade support — with the offshore and tax documentation that global investing actually requires.
Global access, strong investor protection and institutional-level servicing — tailored to advisers and asset managers in South Africa.
One platform to reach major international exchanges — without losing your client relationship along the way.
Clients hold real securities in segregated, FSCA-regulated accounts — not synthetic exposure.
We handle execution, custody and platform. You stay in front of your clients — your book remains yours, contractually and operationally.
Competitive trading and custody fees that support your economics and your clients’ outcomes.
Local-time servicing focused on professional clients and their day-to-day needs — humans, not ticket queues.
Place voice orders and get dealing-desk support on complex or time-sensitive trades.
Give clients global reach with one onboarding flow, while you keep the advice relationship and the revenue line.
Consolidate offshore execution and custody with a regulated counterparty and a human dealing desk.
Institutional-style market access and reporting without the cost of building your own infrastructure.
Cross-border structuring, segregated accounts and discreet, responsive servicing for complex mandates.
High-net-worth individuals open accounts straight with our private clients desk — the same segregated custody, global access and human dealing desk, without the retail noise.
A clear, regulated process for onboarding your clients and operating together.
A short call to understand your book, mandates and what you need from us.
KYC, agreements and account structures handled with our compliance team.
Fast, assisted onboarding flows for your clients — guided by our team.
Execution across global markets via platform, app or the dealing desk.
Reporting, market updates and responsive support in your time zone.
Custody, pricing and service — the three things every due-diligence checklist asks about, answered up front.
Turlov Family Office Securities (PTY) Ltd is an authorised financial services provider regulated by the Financial Sector Conduct Authority (FSCA). Investor protection applies subject to the precise terms set out in our client agreements.
Turlov Family Office Securities was founded by Timur Turlov to bring institutional-grade market access to professional intermediaries. The company operates as a private securities brokerage, regulated by the FSCA in South Africa.
South Africa matters strategically: a deep adviser ecosystem, sophisticated wealth managers, and growing demand for compliant cross-border investing. TFOS is built to serve that market locally — with global infrastructure behind it.
Company news and market notes written for professional readers.
A practical working session on licensing, onboarding & KYC, cross-border classification — and what the new regime means for your filings.
Read & register → InsightFor advisersWhat segregation actually protects, what it doesn’t, and the questions your clients should be asking any cross-border broker.
Read the note → CompanyMilestoneWhat our licence covers, how client assets are held, and where to verify our regulatory status directly with the FSCA.
View licence details →Events TFOS hosts or attends in Cape Town and Johannesburg, plus live online sessions for professional audiences.
A 45-minute compliance working session for CASP compliance officers, MLROs and founders.
Small-group sessions on cross-border execution, custody and the adviser economics behind them.
Tell us about your practice — or your portfolio — and we’ll come back within one business day: with the fee sheet, the partner deck, or a calendar link. Your choice.
Thank you — the team will be in touch within one business day.