Sharesight
Sharesight is a widely utilized investment portfolio tracking tool that operates in over 100 countries globally. It consolidates the management of your stocks, ETFs, and dividends into a single platform.
With Sharesight, users can easily benchmark their portfolios against an index or a chosen stock, as well as monitor their overall investment returns over specified durations.
The platform enables users to manage their investments across various exchanges, currencies, and brokerage firms.
This automation significantly reduces the need for continual manual data entry, as it automatically processes all dividends, stock splits, and corporate actions, thereby conserving both time and financial resources.
Best of all, Sharesight is available at no cost. Join the community of hundreds of thousands of investors who are effectively tracking their portfolio performance and making informed investment decisions.
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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.
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Total Return
SS&C GlobeOp’s Total Return is an all-encompassing system designed for the efficient management of portfolios, investment accounting, partnership accounting, and general ledger functions, specifically created for alternative investment funds and family offices. This versatile multi-currency platform expertly manages intricate securities and advanced investment strategies, addressing the complex ownership structures and distinct tax responsibilities that are commonly associated with family office investments and private wealth funds. In addition to its state-of-the-art portfolio management functionalities and general ledger features, the system provides comprehensive partnership accounting, which includes automated valuation processes based on capital contributions or shares, streamlined income and expense distributions to partners, management fee calculations, and the ability to generate detailed partnership reports. By unifying fund accounting, partnership accounting, and tax processing within a singular platform, it not only simplifies operational workflows but also reduces potential risks, ultimately allowing users to save significant time. This robust solution proves to be invaluable for those seeking to improve both the efficiency and accuracy of managing their intricate investment portfolios while navigating the complexities of the financial landscape. Furthermore, its flexible design ensures that it can adapt to the evolving needs of users in a dynamic investment environment.
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Financial Portfolio Management System (FPM)
The Back Office Module acts as the critical foundation for integrating all Financial Portfolio Management (FPM) Modules, facilitating seamless operations. This sophisticated system is adept at handling a wide range of financial instruments, including bonds, derivatives, time deposits, and equities. Cash management capabilities are intricately linked with trading operations and general ledger transactions within the FPM framework. Users benefit from real-time visibility of projected cash balances, enabling them to manage liquidity proactively before executing any trades. The Order Management system collaborates closely with the Compliance and Back Office Modules, offering users immediate access to client positions and established limits. Each transaction is meticulously verified to confirm adherence to client requirements prior to order placement. After the allocation of deals, they are promptly communicated to the back office for further processing. The Compliance Module empowers users to implement a flexible array of compliance standards, ensuring strict adherence to both client and investment policy directives. Commonly used alongside the Order Management Module, this Compliance Module proactively notifies users of any potential infractions prior to trade entries, thus fostering a strong control framework. By enhancing the interconnection between these various components, FPM delivers a holistic approach to effectively managing financial transactions and promotes greater operational efficiency. This integrated system not only simplifies processes but also reinforces the importance of regulatory compliance in financial dealings.
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