Templates
Investor Relations
Fund Administration Process
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Fund Administration Process

Explore the comprehensive Fund Administration Process, encompassing account setup, investment valuations, audits, performance metrics, and regulatory compliance.
1
Collect investment details from the client
2
Account set-up for new fund
3
Approval: Account Setup
4
Valuation of investments in the fund
5
Process incoming fund transactions
6
Monitor and reconcile bank transactions
7
Calculate fund's net asset value (NAV)
8
Approval: NAV calculation
9
Prepare financial statements for the fund
10
Coordinate with auditor for annual audit
11
Distribute financial statements and tax reports to investors
12
Compliance check for regulatory requirements
13
Approval: Compliance Check
14
Investor reporting and communication
15
Maintain accurate records for audits
16
Update fund performance metrics
17
Approval: Updated Performance Metrics
18
Handling investor inquiries and redemptions
19
Disbursement of dividends or proceeds to investors