Private Equity Funds
Fund Administration
Outsourcing the responsibility for private equity fund administration to our Alternative Investment Solutions professionals lets you focus on managing investment returns and generating value for your investors. Our clients range from small boutiques to some of the world’s largest financial institutions, and are located throughout North America, Europe, Asia and the Gulf region.
Customized fund administration
Whether your fund or family of funds is starting up, active and expanding, or winding down and liquidating, our team can solve the challenges of each specific situation. We offer options for every private equity fund type and structure, at every stage of the fund lifecycle. Across the private equity spectrum — venture, buyout, mezzanine, distressed debt and more — we leverage our global locations to create a solution that fits each private equity manager’s needs.
Private equity fund administration around the world
Our offices are strategically based in key jurisdictions so that we can coordinate effective administration for your private equity funds — wherever they are based.
Our specialist venture, buyout and mezzanine fund administration teams will:
-
Provide highly skilled and knowledgeable resources to all administrative workflows
-
Give you access to the industry best practices we have developed through the size and scope of our business
-
Complement traditional private equity fund administration functions with our treasury department
Comprehensive fund administration
Our private equity fund administration services include:
-
Full fund accounting and financial reporting services
-
Reviewing all investment documents and maintaining detailed records of all investment transactions
-
Calculating equalization payments, management fees, preferred return, carried interest and IRRs in accordance with the fund agreements
-
Maintaining the limited partner register and transfer of interests as required
-
Full coordination and dissemination of investor communications
-
Rollover of bridge line in accordance with the leverage facility agreement
-
Coordinating any regulatory filings and supervision of the audit process
-
Coordinating independent tax review, including preparation of detailed tax schedules and worksheets to reconcile book to tax accounting
Read about our related services, including: Fund of Funds, SPV and Corporate Services and Performance Analytics.
Contact Information