Boutique Experience, Institutional Grade Service
& Admin
Fund Accounting
and Administration
Accuracy, Timeliness & Accountability, Delivered
Reporting & Investor Packages
We provide NAV calculations, partner allocations, performance metrics, individual capital statements and side pocket calculations. For our closed end funds, we also handle capital calls, distribution notices, waterfall calculations and equalizations.
Accuracy, Timeliness & Accountability, Delivered
Portfolio Accounting & Reconciliation
Our dedicated portfolio reconciliation and fund accounting teams provide audited financial statements, cash management and trade processing files.
Accuracy, Timeliness & Accountability, Delivered
Corporate Accounting
We offer General Partner accounting and bookkeeping services to keep all of your accounting and back office needs in one place.
Accuracy, Timeliness & Accountability, Delivered
Service Provider Communication
We establish and maintain tight-knit relationships with the best fund service providers in the industry. We work as a liaison between you and your engaged banks, audit & tax firms, law firms, etc.
Accuracy, Timeliness & Accountability, Delivered
Secure Web Portal
We provide managers and investors access to periodic and year-end reporting, manager letters/updates, as well as dashboards and data visualizations. This includes K-1 distribution as well as investor communications that fund managers would like to include during the distribution of investor statements.
Services
Investor Services
Transaction Processing
Investor Communication
Identity Theft & Red Flag Controls
Anti-Money Laundering (AML) & Know your Customer (KYC)
Services
Treasury Services
BANK ACCOUNT SETUP
INDEPENDENCE AND INTERNAL CONTROLS
WIRE INITIATION
CASH MOVEMENT OVERSIGHT
&Support