Fund Accounting

  • Monitoring and accrual of third-party fees
  • Weekly estimates
  • Setup and maintenance of data warehouse and shadow accounting system
  • Customized daily profit and loss (PnL) reporting using fund administrator’s data and enriched with market data (e.g., Bloomberg)
  • Calculation of monthly management and performance fees
  • Monthly net asset value (NAV) reconciliation to Administrator
  • Month-end investor allocation to Administrator
  • Month-end investment statement review
  • Management of funding/payment of investor activity
  • Liaison with the administrator to respond to inquiries and deliverables
  • Coordination with your team, auditor, and administrator to address ASC820, Fair Value Measurement and Disclosures
  • Year-end audit and tax reviews
  • Preparation of GAAP-compliant annual financial statements / review financial statements for compliance with applicable accounting standards, fund governing documents and industry best practices
  • Dedicated resources to support the financial reporting process, including review of complex valuations