Impact Funds

Environmental, social, and corporate governance (ESG) have become an integral part of alpha-generating strategies. Powered by our proprietary Seamless Impact software, which automates the vast majority of the back office for exchange-traded instruments, our team of fund administration specialists provide you with industry leading NAV turnaround coupled with the highest level of client service. Use CommonSubDoc, our cutting-edge, web-based e-signature onboarding platform, to manage your relationships and capital activity. Why Formidium? Because cutting-edge technology and high-touch client service is the core of everything we do.

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Solutions for Impact Funds

Overview

Seamless simplifies your back office by combining multiple programs into one; allowing trades, accruals, and transactions to be uploaded in minutes, generating easy-to-read daily reports. Seamless automates many parts of the fund administration process, reducing manual errors and providing cost savings, allowing buy-side managers to analyze their portfolios and easily view investor balances, P&L, and exposure reports via the web. Seamless also comes with a built-in portal, allowing investors to easily view their balances, tear sheets, and more.

Seamless software, combined with our experienced global staff enables us to provide you with the highest quality fund administration service. We pride ourselves on making the back office as seamless as possible for both you and your investors.

Features

Onboarding

Easy Onboarding

Industry leading on-boarding turnaround time

Clients

Clients

Support all fund types including high frequency trading

Web Delivery

Web Delivery

Access to cutting-edge investor & document management portal

SRI

SRI

Investment restrictions based on ethical guidelines

Impact

ESG Compliant

Track positive impact to society and investment

Secure

Secure

Two factor authentication and secure online platform

SOC1/SOC2/SOC3 Audits

SOC1/SOC2/SOC3 Audits

Audits covers professional services, operations and Technology

Transfer Agent

Transfer Agent

We are a regulated transfer agent familiar with investor needs

 AML/KYC

Automated AML/KYC

AML/KYC checks, offshore compliance services

Rate of Return

Rate of Return

Calculation of rates of return within GIPS standards

Exceptional Service

Exceptional Service

Exceptional service from experienced and knowledgeable staff

Clients

Competitive Pricing

Straightforward, competitive pricing

Services

Fund Accounting
  • Daily NAV calculations and accounting
  • Management, performance and all other fee calculations
  • General ledger supports all currencies and asset classes
  • Easy historical accounting uploads
Impact Fund Administration
  • Robust NAV reporting package
  • Investors may elect to reinvest or be paid for any distributions
  • Adherence to Foreign Account Tax Compliance Act (FATCA)
  • Common Reporting Standard (CRS) compliance
  • Form 13F filing
  • Form PF preparation
  • Ability to integrate and easily pull data from multiple brokers, custodians, and market data providers
  • No extra charges for derivatives including options, futures, and other over-the-counter (OTC) securities
  • Ability to track impact and provide transparency to investors
  • Data aggregation and analysis via dashboards and reports assists in impact determination
Treasury Services
  • Setup and maintain of funds bank accounts for capital activity, operations
  • Transfer balances between funds bank and custodian/prime brokerage accounts
  • Expense budgeting, accruals and invoice payments
  • Centralized cash payments team
  • Maintain security controls and authorization levels for each counterparty or service provider
  • Management of securities finance transactions
  • Optimizing the use of margin and collateral balances
  • Managing excess cash balances and sweep vehicles.
Investor Services
  • Support for daily or any other subscription, redemption and transfer dealing frequency
  • Initial and ongoing investor AML/CFT screening aligned with the regulations of the fund’s jurisdiction
  • Serve as main point of contact for investor queries and requests
  • Maintain of investor documents
  • Customized investor reporting
  • Distribute of fund and manager documentation to investors
  • User-friendly secure investor web portal
  • Investor statement preparation and distribution
Audit Support
  • Financial statement draft preparation in accordance with GAAP or IFRS
  • Audit timeline determination with clients and auditors
  • Liaise and act as main point of contact for auditors
  • Generate of cost rollforwards and other supporting reports
  • Generate footnotes and related tables
  • Address auditor comments and escalate to client as necessary
  • Distribute final financial statement to investors, exchanges, regulators and other parties
  • Prepare of year-end and semi-annual financials in accordance with US GAAP or IFRS
  • Respond to audit queries and adjust financials as needed
Technology Portals
  • Dynamic, user-friendly and intuitive web portals for clients and their investors
  • Securely share fund documentation and client reports with investors
  • Option to white label with client branding
  • In-house development team customizes to meet client needs
  • Built with multiple AWS disaster recovery sites
Product screenshot

SOC 1, SOC 2 & SOC 3 Certified

Our fund services operations are SOC 1 Certified. Seamless Suite and CommonSubDoc are SOC 2 & SOC 3 Certified. Our SOC 2 audit covers cybersecurity testing, DR site testing, data backups, and other similarly important aspects of our tech infrastructure.