Our Services
Fund Associates provides enterprise level administration services through valued interpersonal relationships. We pride ourselves in providing professional, accurate, timely and independent administrative services to our clients. We realize that in a crowded marketplace our commitment to best-in-class customer service is driven by the trusted relationships that we develop with our clients. Below is a representation of the services we provide:
- Provide independent portfolio valuation verification services
- Calculation of monthly or quarterly Net Asset Value (NAV)
- Confirmation of Anti-Money Laundering (AML) Compliance
- Maintenance of fund records including: investor name and address files; initial investments, additions and redemptions; investor confirmations; and monthly or quarterly valuation statements.
- Reconciliation of brokerage, bank and custodian accounts.
- Preparation of confirmations and official monthly or quarterly investor reports.
- Assist the outside auditors with preparation of the year-end financial statements
- Liaise, as necessary, with investment managers, banks, custodians, auditors and investors.
Fund Associates can guide you through the process of starting a hedge fund.
- Pre-launch advice on fund structuring and referrals to other service providers, i.e. attorneys who specialize in fundformation, auditors, brokers, etc., who also focus on servicing and providing value to emerging managers.
- Liaise with the Attorneys as they create your Private Placement Memorandum, Limited Partnership Agreement andSubscription Documents.
- Review of offering documents
- Provide best practices consulting with respect to the operational aspect of actually running a fund.
- Create a custom web site for the Fund that allows the manager to choose between dynamic options for the web presence
- Provide access control, i.e. only people (investors) with the proper login credentials will be able to access the site
- Provide content management capabilities, which means that the manager will have the ability to dynamically update and change the content of the web site
- Provide the capability to dynamically present, on the site, specific reports (NAV, etc) to each investor based on their log in credentials
- Ability to upload files, present fund performance and engage in group email distributions via the site.
- HedgeData Services is a strategic partnership with HedgeData, LLC. HedgeData provides institutional quality marketingcollateral. HedgeData professionals will design custom marketing summaries and provide ongoing support to your fund'smarketing efforts. HedgeData marketing material is designed to convey your fund's message. Custom marketing summariesare based upon your preferences, not a "one size fits all" template.
- HedgeData produces both tearsheets that can be updated monthly as well as full scale presentation material that can beeffectively used for marketing your fund to investors.
Sample Balance Sheet
Sample Income Statement
Sample Partners Account Activity
Sample Performance and Capital Summary