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Ratings and Reviews 13 Ratings
What is PFS-Paxus?
PFS-PAXUS is a specialized platform for fund accounting and administration that is preferred by fund managers handling both alternative and traditional investment portfolios around the globe. As a prominent figure in the industry, PFS-PAXUS offers fund administrators an all-encompassing back-office solution that includes fund accounting, portfolio valuation, pricing, and shareholder record-keeping, all integrated into one cohesive system designed to address the intricate needs of sophisticated fund administration. This cutting-edge system is particularly notable for its ability to unify multiple functions that are usually distributed across various platforms, including securities management, allocation processes, general ledger upkeep, fee computations, share registry, investor communication, and web portal oversight. Awarded for its outstanding performance, PFS-PAXUS is created to support wholesale fund administration and is capable of managing a wide array of both open and closed-ended traditional and alternative funds, such as hedge funds and private equity investments. Its functionality not only simplifies operations but also proves to be an essential asset for administrators aiming to boost both efficiency and precision in their fund management tasks. Furthermore, the platform's adaptability ensures that it remains relevant in a rapidly evolving investment landscape, making it a preferred choice for professionals in the finance sector.
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.
Integrations Supported
Adobe Acrobat Sign
Alfresco Digital Business Platform
Assecco SEE Fidelity
Atlassian Crowd
HubSpot CRM
HubSpot Customer Platform
ICE Crypto Payments
LSEG Due Diligence Centre
LSEG World-Check
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Integrations Supported
Adobe Acrobat Sign
Alfresco Digital Business Platform
Assecco SEE Fidelity
Atlassian Crowd
HubSpot CRM
HubSpot Customer Platform
ICE Crypto Payments
LSEG Due Diligence Centre
LSEG World-Check
Laserfiche
API Availability
Has API
API Availability
Has API
Pricing Information
Pricing not provided.
Free Trial Offered?
Free Version
Pricing Information
$500
Free Trial Offered?
Free Version
Supported Platforms
SaaS
Android
iPhone
iPad
Windows
Mac
On-Prem
Chromebook
Linux
Supported Platforms
SaaS
Android
iPhone
iPad
Windows
Mac
On-Prem
Chromebook
Linux
Customer Service / Support
Standard Support
24 Hour Support
Web-Based Support
Customer Service / Support
Standard Support
24 Hour 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
Pacific Fund Systems
Company Website
www.pacificfundsystems.com/our-products/pfs-paxus/
Company Facts
Organization Name
FundCount Americas
Date Founded
2001
Company Location
United States
Company Website
fundcount.com
Categories and Features
Hedge Fund
Compliance Management
Contact Management
Investor Accounting
Investor Reporting
P&L Calculation
Partnership Accounting
Performance Analysis
Portfolio Analysis
Portfolio Management
Categories and Features
Fund Accounting
Accounts Payable
Accounts Receivable
Activity Tracking
Asset Management
Bank Reconciliation
Budgeting & Forecasting
Compliance Management
Donor Management
General Ledger
Partnership Accounting
Purchasing & Receiving
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
Payroll & Commissions
Performance Metrics
Portfolio Management
Risk Management