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Gain access to the assets and liabilities of the fund’s balance sheet to understand the fund’s NAV components
Extracts standing instructions setup details per fund or plan by unitholder (investor) level
Extracts FATCA and Common Reporting Standards (CRS) setup details by unitholder or Customer Information File (CIF) level
Extracts transfer agency entities including Legal Entity, Agent, Agency Branch, Account Officer, IFA, Broker and Related Party
Extracts corporate action details per fund include Liquidation, Merger, Split and more
Extracts fund price details
Extracts trailer fee and commission data per entity level such as the agent
Manage documents associated with your customers application
Global Receivables - Virtual Account Management
Extracts transactional payment and settlement details
Gain access to the income earned between NAV points.
Contains information on holdings and position details
Contains cash analysis, trial balance information and fund level details
Contains NAV Price information (fund and share class level), and exchange rate details
Contains transaction details between NAV points
Extracts transactions details of multiple transaction types including Subscription, Redemption, Switch, Transfer, etc
Extract unitholder (investor) level holdings data
Extracts income distribution preferences setup details by unitholder (investor) level.
Extracts the Holiday setup in system at different levels
Extracts box management setup and holding/position details