Fund Services

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Simplify fund operations with tech-enabled solutions that drive efficiency, ensure compliance, and strengthen investor trust.

Our Fund Services are designed to simplify fund operations through technology-driven regulatory precision, and transparent reporting. We employ the Advent Geneva System to automate portfolio valuation across all asset classes, global currencies, investor income allocation, and complex fee calculation. We deliver end-to-end solutions covering Advisory & Structuring, Investor Services, Fund Accounting & NAVs, Tax & Compliance, Fiduciary Services and Financial Reporting & Audit. Our team of experts combines global best practices with local regulatory knowledge to ensure accuracy and timely insights. By empowering fund managers with reliable data and seamless operations, we drive performance and strengthen investor trust.
1800 +

Fund
Entities​

$ 0 B

Fund Assets
Managed

0 +

Jurisdictions
Served

200 +

Global
Professionals

1900 +

Fund
Entities

0 +

Jurisdictions
Served

$ 0 B

Fund Assets
Managed

200 +

Global
Professionals

Frequently Asked Questions

What is Fund Administration?

Fund administration includes the end-to-end management of a fund’s operational, accounting, and compliance activities. Some of the key functions include investor onboarding and KYC, accounting, NAV calculation, and performance reporting, regulatory filings and compliance monitoring, cash management and reconciliations. It ensures accuracy, compliance, and investor confidence through back-office support and transparent reporting.

What Services Do Fund Administrators Provide?

Fund administrators provide end-to-end operational, accounting, compliance, and investor support to ensure funds run efficiently and transparently.

Why Do Fund Managers Use Fund Administrators?

Fund managers partner with fund administrators to ensure efficient operations, regulatory compliance, and accurate reporting. Fund administrators manage functions like accounting, NAV calculation, investor onboarding, reconciliations, tax computations, and regulatory filings ensuring transparency and consistency.

How Does Fund Administration Benefit Investors?

Streamlined fund administration builds trust with the investor. With transparent and accurate reporting, and compliance frameworks, investors receive timely and reliable insights into fund performance, valuations, and financial health. This ensures smooth communication and operational efficiency throughout the investment lifecycle. In essence, fund administration offers investors control over their investments through a well-governed and professionally managed ecosystem.

When Should a Fund Engage a Fund Administrator?

A fund should engage a fund administrator ideally at the time of fund setup to ensure a strong operational and compliance foundation. Early engagement helps streamline processes before capital deployment begins. As the fund grows and its structure becomes complex, a fund administrator ensures accuracy, transparency, and efficiency in operations, reporting, and audits.

Are Fund Administrators Regulated?
Yes, Fund administrators are regulated. In India, they are governed by regulatory bodies such as SEBI and the International Financial Services Centres Authority (IFSCA) for funds operating from GIFT City. These regulations mandate transparency and integrity, and investor protection through compliance, reporting and data protection standards.

clientele

Contact Us

  • B – 1602, ONE BKC,
    Bandra Kurla Complex,
    Mumbai 400051
  • in-info@ascentium.com
  • (+91) 77380 66622

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