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What is Landytech Sesame?

Sesame, developed by Landytech, is an all-encompassing investment management solution designed specifically for asset owners, managers, and advisors, providing a robust set of tools for efficient data integration, analysis, and reporting. This platform enables users to effortlessly aggregate information from a range of custodians and asset classes, including complex financial products, creating a unified view of their investment holdings. With its advanced analytics capabilities, Sesame equips users to assess performance, risk, and exposure, facilitating more strategic investment decisions. The platform's intuitive report builder features a drag-and-drop functionality that assists in crafting visually engaging and customizable reports, which can be automated and scheduled for convenience. Additionally, Sesame includes monitoring tools that allow users to establish personalized alerts for compliance breaches and other important events, thereby enhancing proactive risk management practices. The platform also fosters collaboration through task management tools and centralized document repositories, which optimize operational workflows and improve overall efficiency. By combining these diverse functionalities, Sesame not only streamlines the investment management process but also empowers users to navigate the dynamic financial environment with greater confidence and agility. Furthermore, the continuous updates and enhancements to the platform ensure that users have access to the latest features and tools to maintain their competitive edge.

What is FundCount?

FundCount is a sophisticated software solution designed for analytical and partnership accounting, enabling users to monitor, analyze, and generate reports on intricate investment portfolios. This software caters to a diverse clientele, including fund administrators, family offices, hedge funds, and private equity firms. With a built-in multicurrency general ledger and automated workflow features, FundCount enhances operational efficiency in daily tasks. Its user-friendly reporting tools provide flexibility, allowing firms to swiftly produce tailored reports that align with the unique needs of each client. Recognized for its excellence, Hedgeweek awarded FundCount the title of Best Fund Accounting and Reporting System Firm, further solidifying its reputation in the industry. By streamlining accounting processes, FundCount empowers firms to focus on strategic growth and client satisfaction.

Media

Media

Integrations Supported

Integrations Supported

Atlassian Crowd
Automation Anywhere
Docusign
Encompass
Formstack
HubSpot CRM
ICE Crypto Payments
LSEG Due Diligence Centre
Nuxeo
OpenText Documentum
Payment Rails
Swift Digital Suite
Tableau
Task Management Software
UBSplus
UiPath
Wrike
Zapier
airSlate SignNow

API Availability

Has API

API Availability

Has API

Pricing Information

Pricing not provided

Pricing Information

$500
FundCount's primary markets are Single- and Multi-Family Offices, Fund Administrators, Hedge Funds, Wealth Management and Private equity firms. The annual subscription starts at $500 USD and includes customer support, ongoing maintenance releases and upgrades.

Supported Platforms

SaaS

Supported Platforms

Windows

Customer Service / Support

Standard Support
24 Hour Support
Web-Based Support

Customer Service / Support

Standard Support
Web-Based Support

Training Options

Documentation Hub
Webinars
Online Training
On-Site Training

Training Options

Documentation Hub
Webinars
Online Training
On-Site Training

Company Facts

Organization Name

Landytech

Date Founded

2018

Company Location

United Kingdom

Company Website

www.landytech.com/product

Company Facts

Organization Name

FundCount Americas

Date Founded

2001

Company Location

United States

Company Website

fundcount.com

Categories and Features

Family Office

Not specified

Investment Management

Not specified

Wealth Management

Not specified

Categories and Features

Family Office

Not specified

Fund Accounting

Accounts Payable
Accounts Receivable
Activity Tracking
Asset Management
Bank Reconciliation
Budgeting & Forecasting
Compliance Management
General Ledger
Partnership Accounting
Purchasing & Receiving

General Ledger

Not specified

Hedge Fund

Compliance Management
Contact Management
Investor Accounting
Investor Reporting
P&L Calculation
Partnership Accounting
Performance Analysis
Portfolio Analysis
Portfolio Management

Investment Management

Accounting Management
Benchmarking
Bonds / Stocks
Client Management
Commodities
Compliance Reporting
Data Import / Export
For Investment Advisors
For Investors & Traders
Fund Management
Modeling & Simulation
Performance Metrics
Portfolio Management
Risk Management

Private Equity

Not specified

Wealth Management

Not specified

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