We help fund managers outsource their fund administration and back office functions so that they can manage their funds and deliver value to their investors and shareholders
The solution
With a proven track record in servicing funds, a global award winning platform and flexible solutions, we support a variety of funds and asset classes across multiple jurisdictions. Our domestic fund services solutions consists of:
Fund administration
- Cash and securities transactions accounting
- Securities pricing and portfolio valuation
- Income, expense and capital accounting
- Net asset value (NAV) calculation
- Client reporting
- Cash and securities reconciliation with custodians
- Preparation of GAAP financial statements and audit support
Registrar and transfer agency
- End investor/ distributor register maintenance
- Transaction processing
- Support with AML/KYC compliance checks
- Distributor services and commission processing
- Corporate action processing
- Systematic transactions
- Investor communications and account statement dispatch
- Order aggregation and trade instruction
- Tax computation and retrocession claim services
Trustee and fiduciary
- Safe keep assets
- Protect investor interest
- Monitor fund performance and borrowing by fund
- Monitor compliance against regulations, investment guidelines and fund prospectus
- Validate accuracy of NAV
- Review security pricing and portfolio valuation
- Review financial statements of the fund
Middle office
- Trade matching and confirmation
- Trade settlement
- Trade support
- Collateral management
- Cash management
- Risk/P&L reporting
Solutions
- Fund administration
- Registrar and transfer agency
- Trustee and fiduciary
Global recognition

The Asset, Triple A Awards 2016, June 2016
- Best Fund Administrator - Alternatives

HFM European Service Awards 2016
- Best Administrator - over $30bn client service

HFM US Service Awards 2015
- Best Administrator - over $30bn single manager