Fund-wide visibility
See setup gaps, upcoming work, pending investor items and unresolved capital activity.
For fund managers
Bring administration, investors, investments, accounting, cash, compliance and reporting into one view while each team member works in the area they own.
Walk through your roleWhat you need to know
See setup gaps, upcoming work, pending investor items and unresolved capital activity.
Important changes retain the reviewer, reason, supporting document and final decision.
Issue timely notices and statements from the fund records already reviewed by your team.
Your connected path
Product areas
Set up the fund structure, unit classes, registrations, service providers, registers and documents your team relies on throughout the fund lifecycle.
Explore this pillarBring onboarding, admission checks, commitments, capital calls, receipts, units, distributions, statements and document requests into one investor record.
Explore this pillarConnect investment proposals, diligence, approvals, deal records, ownership, portfolio monitoring, valuations, income and exits to the fund that made the investment.
Explore this pillarBring transactions, investments, bank balances, income, expenses, fees, valuations and investor allocations into a controlled accounting close.
Explore this pillarTurn regulatory, PPM, policy and governance requirements into assigned work with review steps, supporting documents and a clear history of decisions.
Explore this pillarConnect bank accounts, investor receipts, investment payments, expenses, distributions, approvals, reconciliation and cash visibility.
Explore this pillarBook a fund walkthrough
We will map the walkthrough to your funds, schemes, investor workflows and reporting needs.