Our Team
Who We Are
Our management and fiduciary teams are professionally qualified and are drawn from well-known names in the financial services industry including KPMG, PWC, Ernst and Young, Credit Suisse, Ogier, Close Brothers, UBS Fund Services, Dresdner Fund Administrators, Kleinwort Benson, Citco Fund Services, Walkers SPV, Maples Finance, the Ontario Securities Commission and the Cayman Islands Monetary Authority.
Gary Butler
Managing Director & Legal Counsel, LL.B.(Hons), Dip.L.P.
GARY BUTLER, LL.B.(Hons), Dip.L.P. (Managing Director & Legal Counsel), a resident of the Cayman Islands, is a Solicitor of the High Court of England and Wales (non-practising, but holding a current practising certificate). Mr. Butler is a Professional Director in the Cayman Islands registered pursuant to the Directors Registration and Licensing Law 2014. Mr. Butler previously also practised law in Scotland, Jersey and the Cayman Islands. Mr. Butler is employed as Managing Director & Legal Counsel and serves as a director on a limited number of boards of alternative investment funds and special purpose vehicles. Prior to joining IMS he was Legal Manager for the Close Brothers offshore group of companies across their Jersey, Guernsey and Isle of Man offices, advising on corporate, trust & fiduciary, investment fund and other ad-hoc legal matters. Prior to that, he was a Senior Associate with a top tier offshore law firm, working in their Business and Trust Law Group out of their Jersey office and has also worked in the formation of investment funds for a Cayman Islands law firm. His expertise is in the fields of corporate and fiduciary law, with an emphasis on offshore structures. He is currently a member of the executive committee of the Cayman Islands Directors Association (CIDA).
Mike McDonald
CPA, CA, TEP, Acc.Dir, (Managing Director and Fund Fiduciary)
MIKE McDONALD, CPA, CA, TEP, Acc.Dir, (Fund Fiduciary) a resident of the Cayman Islands, is a Canadian Chartered Professional Accountant and Chartered Accountant and holds the Accredited Director designation granted by the Chartered Governance Institute of Canada. Mr. McDonald serves on the board of investment funds in the Cayman Islands and is a Professional Director in the Cayman Islands registered pursuant to the Directors Registration and Licensing Act 2014. Prior to joining IMS, he previously worked for Genesis Trust & Corporate Services Ltd., previously affiliated with KPMG) as a fund director where he specialized in providing trust, private wealth and corporate management services to companies, trusts, and related entities worldwide. Prior to Genesis Trust, Mr. McDonald was a Senior Manager with Fortis Prime Fund Solutions (Cayman) Limited where he led a team of fund accountants and was responsible for calculating and reviewing net asset valuations. He started his career with KPMG and is a member of the Society of Trust and Estate Practitioners (STEP). Mr. McDonald is also a member of the Cayman Islands Directors Association.
Chris Bowring
Fund Director and Board Member
CHRISTOPHER BOWRING F.C.C.A, A.C.I.S, A.I.B., T.E.P., (Director), a resident of the Cayman Islands, is a fellow of the UK Association of Chartered Certified Accountants, an associate of the Institute of Chartered Secretaries and Administrators, and a member of the Institute of Financial Services (formerly the Chartered Institute of Bankers). Mr. Bowring is a Professional Director in the Cayman Islands registered pursuant to the Directors Registration and Licensing Law 2014 and is also a member of the Cayman Islands Society of Professional Accountants, a member of the Society of Trust and Estate Practitioners and a founding member of the Cayman Islands Directors Association. He has over thirty years’ experience in the management of various entities including mutual funds, trusts and corporations in a number of jurisdictions, in particular the Cayman Islands. Mr. Bowring is a Director of IMS and serves as a director on the boards of alternative investment funds and special purpose vehicles. Prior to joining IMS he was the Managing Director of Fiduciary Trust (Cayman) Limited and director of Cayman Islands Securities Limited (a related brokerage company).
Damien Austin
Captive Insurance, Private Clients and Board Member
DAMIEN AUSTIN, BSc, ACCA (Director, Captive Insurance and Private Clients), is a resident of the Cayman Islands and is a member of the Association of Chartered Certified Accountants and the Society of Trust & Estate Practitioners. Mr. Austin gained his qualifications at the University of Wales Aberystwyth, majoring in Corporate Finance, Taxation, Auditing and Financial Reporting. Prior to joining IMS he spent 9 years with one of the largest providers of captive insurance services in the Cayman Islands. He managed a varied portfolio of Captive Insurance Companies, including single parent health care, SPCS’s, SPV’s, reinsurance entities and group captives. He was involved in all facets of the management of the captives, including the production of accounts, statistical analysis, liaising with all service providers and consultants and reporting directly to the board of directors. He has a sound and extensive knowledge of the regulatory regime covering captives both onshore and offshore. He is also experienced in the establishment and administration of offshore holding structures, such as trusts and other corporate entities. Mr. Austin currently serves as a Director of International Management Services Ltd and joined the firm in November 2014.
Philip Cater
Fund Fiduciary, B.Com., C.A.
PHILIP CATER, B.Com., C.A., (Fund Fiduciary), a resident of the Cayman Islands has over 25 years’ experience in the mutual/hedge funds industry. He received a Bachelor of Commerce degree in Accounting from the University of Auckland in 1984, and is a member of Chartered Accountants Australia and New Zealand, the Cayman Islands Institute of Professional Accountants and the Cayman Islands Directors Association. Mr. Cater is employed as a Senior Company Manager for International Management Services Ltd.(“IMS"), a firm engaged in the management of offshore corporations. Prior to joining IMS he was the Funds Controller and Legal & Compliance Officer for UBS Fund Services (Cayman) Ltd (1999-2003) responsible for over 400 funds valued at over $30bn, Managing Director of Dresdner Fund Administration (Cayman) Ltd (1996-1999), Project Accountant and then Joint Head of Middle Office (Quant Fund Risk Management) at Kleinwort Benson Investment Management Ltd in London (1991-1996). Mr. Cater received his professional training with Ernst & Young in Auckland and the Cayman Islands.
Tim Woolaver
Fund Fiduciary, B.Acc., C.P.A., C.A., Acc.Dir.
TIM WOOLAVER, B.Acc., C.P.A., C.A., Acc.Dir., (Fund Fiduciary), a resident of the Cayman Islands, is a Canadian Chartered Professional Accountant and Chartered Accountant, has a Bachelor of Accounting degree from Brock University in St Catherines, Ontario, Canada, holds the Accredited Director designation granted by the Institute of Chartered Secretaries in Canada and is registered as a Professional Director in the Cayman Islands pursuant to the Directors Registration and Licensing Law 2014. He is also a member of the Cayman Islands Society of Professional Accountants and a founding member of the Cayman Islands Directors Association. Mr. Woolaver serves as a director on the boards of alternative investment funds and special purpose vehicles. Prior to joining IMS in 2012 he was a Senior Vice President at Maples Fiduciary Services, from 2007 to 2012, where his primary role was to serve as a director of Cayman Islands investment funds covering a wide range of strategies and structures. From 2000 to 2007 Mr. Woolaver worked at Citco Fund Services (Cayman Islands) Limited where he was a Senior Account Manager. From 1998 to 2000 he worked at PricewaterhouseCoopers in the Cayman Islands where he provided audit, business and advisory services to asset management and other financial services clients. From 1991 to 1998 he worked for an accounting firm in London, Ontario, Canada.
Ebony Myles-Berry
Fund Fiduciary, BBA, EMBA, Acc.Dir.
Ebony Myles-Berry, BBA, EMBA, Acc.Dir, CIFD, (Fund Fiduciary), a resident of the Cayman Islands, is a Certified Investment Fund Director and a founding and executive committee member of the Cayman Islands Directors Association. Ms. Myles-Berry is a Professional Director registered in the Cayman Islands pursuant to the Directors Registration and Licensing Law 2014 and serves as a director on the boards of alternative investment funds and as a member on governance and advisory committees for investment funds and companies. Ebony also serves as Anti-Money Laundering Compliance Officer and Money Laundering Reporting Officer for several Cayman companies. Prior to joining IMS, she was a Vice President at Maples Fiduciary Services (Cayman) Limited where she served as a director for several years on a wide range of investment funds, including multi-manager funds, hedge funds, private equity funds and segregated portfolio companies. In addition to providing director services, she also specialized in providing fiduciary services to unit trusts and the administration of companies engaging in structured finance transactions, including structured note issues, CLO/CDOs and asset financing. Prior to that, she worked at Walkers SPV Limited as a Business Analyst and at the Cayman Islands Monetary Authority as a Treasury Analyst.
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Ebony holds the Accredited Director designation granted by the Institute of Chartered Secretaries of Canada, a Diploma in Fund Administration (Merit) from Manchester School of Business and is a Notary Public for the Cayman Islands.
Ruan van Vuuren
Fund Fiduciary and Private Cients, CA, CAIA, Acc. Dir, CFE
Ruan van Vuuren, a permanent resident of the Cayman Islands, is a Chartered Accountant (South Africa) and holds the Accredited Director designation granted by the Chartered Governance Institute of Canada (formerly ICSA Canada). Mr. Van Vuuren serves on the board of investment funds in the Cayman Islands and is a Professional Director in the Cayman Islands registered pursuant to the Directors Registration and Licensing Law 2014.
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Prior to joining IMS, he was a Chief Analyst in the Investments Supervision Division of the Cayman Islands Monetary Authority (CIMA) where his role included review and approval of various fund registrations, supervision of liquidations and de-registrations, consulting on new regulatory requirements, providing guidance on industry queries to fund directors and trustees, leading risk analysis of funds and licensees, managing a team within the inspection division and managing projects to fulfil new fund requirements including the AML Officer regime. Prior to that, he was a Senior Manager with PricewaterhouseCoopers (PwC) where he worked on the audits of a large and varied portfolio of hedge funds, PE funds, real estate and structured finance vehicles. Mr. Van Vuuren also holds the Chartered Alternative Investment Analyst and Certified Fraud Examiner designations.
Aaron Unterman
BA (Honours), LL.B., LL.M (Fund Fiduciary)
AARON UNTERMAN, BA (Honours), LL.B., LL.M, is a resident of the Cayman Islands and a lawyer admitted to the Ontario (Canada) bar. He is a Professional Director in the Cayman Islands registered pursuant to the Directors Registration and Licensing Law, 2014. Aaron has a background in virtual assets, investment funds, derivatives, and structured finance and has over 18 years’ experience in the finance industry.
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Prior to joining IMS, Aaron was the managing director of XReg Consulting SEZC, a regulatory consulting firm specializing in virtual assets. Prior to that, Aaron was the Deputy Head of the Policy and Development Division at the Cayman Islands Monetary Authority (CIMA). At CIMA Aaron was responsible for leading policy development for the investment funds, virtual asset service providers (VASPs), securities and structured finance sectors and led the development of a wide range of policy initiatives including CIMA’s regulatory framework for VASPs, the Rules and Guidance on corporate governance for regulated entities (including funds) and internal controls and AML requirements for structured finance issuances. He also provided expertise and advice on the registration and licensing of VASPs.
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Prior to joining CIMA, Aaron was senior legal counsel in the derivatives branch of Canada’s largest market regulator, the Ontario Securities Commission (OSC), and led a range of policy making initiatives including implementing Canada’s G-20 regulatory reform commitments by creating a framework for the regulation of OTC derivatives and advising on the regulation of crypto derivatives, platforms and issuances. During his OSC career, Aaron was actively involved with international organisations including the Financial Stability Board (FSB) and representing the OSC as co-chair of the International Organization of Securities Commissions (IOSCO) Task Force on Derivatives. Aaron began his career as a banking and financial services lawyer at the leading Canadian law firm Osler, Hoskin and Harcourt LLP where he specialised in derivatives, securitisation, and syndicated lending.
Carlos Bourgy
Senior Manager, Insolvency & restructuring
Carlos Bourgy ((CA), INSOL, IWIRC and RISA) is a Qualified Insolvency Practitioner in the Cayman Islands and a Chartered Accountant (CA) (Australia and New Zealand), with over 8 years of insolvency and restructuring experience. Mr. Bourgy is also a member of INSOL International, the Cayman Islands RISA chapter, and IWIRC. Mr. Bourgy holds a bachelors degree in Commerce, with a major in Accounting and Finance from Curtin University in Perth, Western Australia.
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Before joining IMS, Mr. Bourgy distinguished himself in a leading insolvency and restructuring firm in Australia. His portfolio encompassed the management and leadership of a multitude of Voluntary Administrations, Receiverships, Creditors Voluntary, and Official Liquidations, primarily within the retail, mining, and mining services sectors.
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Since his relocation to the Cayman Islands in 2019, Mr. Bourgy has made significant contributions in both a top tier and boutique insolvency and restructuring firms. His focus has centered on intricate, high-profile, and multi-jurisdictional insolvency, restructuring, and advisory cases spanning the Cayman Islands, Bermuda, BVI, Asia, US, South America, and the Middle-East. These complex engagements have honed Mr. Bourgy's expertise in handling a diverse range of matters, including jurisdictional procedural and recognition issues, stakeholder management, Chapter 15 applications, multi-jurisdictional schemes of arrangement, and the development of effective litigation strategies.
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At IMS, Mr. Bourgy was enlisted to establish and lead the restructuring and insolvency division. His responsibilities range from facilitating consensual wind-down solutions for solvent entities to spearheading litigious, multi-jurisdictional fraud investigations and asset recovery-focused liquidations.
Michael Crothers
Corporate Secretary, MsC, LLB, ACIS, MICA (Corporate Governance Professional)
Michael Crothers, MsC, LLB, ACIS (Corporate Governance Professional). Michael received his Bachelor’s degree in Law from the University of Ulster before completing a Master’s degree in Management and Corporate Governance at the same institution. Michael is also an associate member of the ICSA - The Governance Institute and a professional member of the International Compliance Association (ICA) and has completed the ICA International Diploma in Anti-Money Laundering. Prior to joining IMS, Michael worked in the Channel Islands for a large multinational corporate services provider and was part of the team responsible for launching their escrow services line. Michael also provided administration services to a large portfolio of clients and was involved in anti-money laundering
William Ryan
MA ICS, BS Accounting, CPA, CAMS (Compliance Officer)
William Ryan, MA ICS, BS Accounting, CPA, CAMS (Compliance Officer), a resident of the Cayman Islands, is a Certified Anti-Money Laundering Specialist, having worked in Compliance since 2012 and gaining his CAMS designation in 2013. Mr. Ryan is also a Certified Public Accountant, having qualified in 1999 while working as an auditor with PricewaterhouseCoopers. After transitioning from auditing, Will worked in Hedge Fund Administration as an assistant manager with HSBC from 2000-2002, before later launching his Compliance career with MUFG Alternative Fund Services (Cayman) from 2012-2016. Will spent the next 4.5 years with Ocorian Trust (Cayman) before accepting a stint as AMLCO & MLRO with Harneys Fiduciary (Cayman). Will holds a Master of Arts in Intercultural Studies from Columbia International University (2005), a Bachelor of Science in Accounting from the University of South Florida (1997), is a registered Certified Public Accountant in the US State of Illinois and is a Notary Public for the Cayman Islands.
Cassandra McAfee, B.A., B.B.A CPA (Australia)
Financial Controller
Cassandra McAfee, B.A., B.B.A CPA (Australia),Financial Controller, a resident of the Cayman Islands, is an Australian Certified Public Accountant, an Alumni of Charles Sturt University, Bathurst, Australia. Prior to joining IMS in September 2022, Ms. McAfee began her career as a tax accountant before moving into financial management and director positions in investment banking with UBS and Credit Suisse before transitioning into financial controller positions in two offshore top tier law firms.
Claire Carter
CPA, Fund Accountant and Fiduciary
Claire Carter, CPA, (Fund Accountant and Fiduciary), a resident of the Cayman Islands, is a dedicated accounting professional with over six years of audit experience, specializing in investment funds. Graduating from the University of Mississippi with both a Bachelor’s and a Master’s degree in Accountancy, she began her career at Deloitte in Atlanta, Georgia, where she honed her skills in audit practices and gained invaluable insights into the complexities of financial reporting. In 2020, Ms. Carter transitioned to Deloitte’s office in the Cayman Islands, where she focused on audits of investment funds, providing expert guidance and strategic insights to clients navigating complex financial landscapes. As a licensed Certified Public Accountant (CPA), she is committed to maintaining the highest standards of professional integrity and delivering exceptional client service.