Broker Dealer Solutions
In the complex world of capital market, Broker Dealers encounter many challenges that require a special blend of operational knowledge and precision. Fundtec understands these unique needs, and our customized suite of services is designed to optimize your operations. Our goal is to enhance your performance, ensuring that you not only meet but exceed industry standards
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Managing calendars and travel plans.
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Documenting minutes of meetings and carving out next steps to monitor progress.
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Enhancing internal communication pathways.
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Overseeing corporate bookings and ticketing.
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Managing vendor relationships and supervising tasks.
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Proof reading and fact checking of documents.
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Engaging in contract redlining and reviews.
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Overseeing contract lifecycle management.
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Assistance in regulatory compliance audits, inspections and examinations.
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Providing litigation assistance.
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Analyzing prevailing market trends.
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Building prospecting avenues and pipelines.
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Organizing and managing prospect funnels.
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Orchestrating outreach programs and handling digital marketing including email marketing.
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Running market research and analysis for actionable insights.
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Implementing third party growth hack tools for prospecting and automations of funneling.
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Undertaking detailed venture assessments.
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Conducting thorough risk appraisals.
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Monitoring for negative news instances.
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Executing FATCA verifications.
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Initiating rigorous KYC and AML checks.
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Probing into backgrounds and reputations.
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Ensuring commercial and legal compliances are met.
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Engaging in insightful stakeholder dialogues.
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Setting up robust accounting processes and frameworks.
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Orchestrating AP & AR procedures.
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Facilitating smooth cash flow transitions.
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Handling regulatory submissions: FOCUS, SIPC etc.
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Administering payroll and commission cycles.
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Delivering clear financial insight and reporting
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Managing daily Net Capital and ensuring margin upkeep.
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Initiating steps for risk containment.
Our Services:
we understand that each financial intermediary has unique operational demands. Our Broker Dealer Services are designed to scale with your needs, reduce risk, and unlock operational excellence.
Key Benefits of Our Broker Dealer Services:
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Compliance & Risk Management: Ensure adherence to all regulatory requirements and mitigate risks.
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Transparency & Accuracy: We offer precise reporting and clear communication, ensuring all stakeholders are informed.
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Scalability: Our services scale with your business, whether you are managing a small fund or a large international portfolio.
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Cost Efficiency: We help optimize operational costs, making fund management more affordable and efficient.
Our Services:
we understand that each financial intermediary has unique operational demands. Our Hedge Fund Administration services are designed to scale with your needs, reduce risk, and unlock operational excellence.
Fund Accounting
-Recording all the trades and transactions.
-Managing contribution and distributions.
-Independent pricing and valuation of the portfolio.
-Reconciliation of position and cash with counterparties and street.
-Recoding and allocating all non-trade expenses.
-Calculation of management fees and performance fees aligned with fund agreements.
-Investor allocations and accounting.
Investor Services
-Seamlessly onboard & offboard investors with robust digital process.
-Conduct thorough compliance checks, including AML and KYC, suited to each investor profile and domicile.
-Owning and maintaining IR mailboxes.
-Coordinate, document and communicate for capital calls and distributions including notices.
-Generate detailed, fund-specific reports for investors, including performance reporting.
-Prepare and maintain documents such as factsheets and newsletter.
-Handle investor queries regarding capital calls and distributions promptly.
Compliance Support
-FATCA and CRS filings support to ensure regulatory compliance.
-Robust Anti-Money Laundering (AML) and Know Your Customer (KYC) compliance solution.
-Coordination of regulatory application and filing procedures.
-Comprehensive audit support to assist during regulatory audits.
-Swift response to regulatory inquiries and audits.
Reporting
-NAV calculations and reporting on a defined intervals.
-Preparation of financial statements, including balance sheets and income statements.
-Preparation of comprehensive notes to the accounts.
-Deliver tailored reports to fund and investor.
-Publishing investor statements.
-Support in preparing for and facilitating external audits.
Our Technology:
An intelligent, unified platform built to simplify life for fund managers, fund administrators, and funds.
Why Fundtec?
Fundtec delivers tech-enabled, cost-effective fund administration solutions trusted by global investment firms. With deep expertise across hedge funds, private equity, and VC, we combine real-time reporting, scalable infrastructure, and global regulatory compliance to streamline your operations. Our cloud-based platform ensures accurate NAV, investor reporting, and secure data access empowering fund managers to focus on growth while we handle the complexities. Backed by ISO-certified processes and 24/5 global support, Fundtec is your trusted partner in achieving operational excellence and investor transparency.
What you gain from us:
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50% Faster reporting turnaround time
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99% Data Accuracy
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24/5 Customer Support
Services & Solutions Customization Option:
At Fundtec, we understand that every investment operation is unique. That’s why we offer a fully customizable service package and jurisdiction to tailor a modular solution aligned with your needs. Our cloud‑based platform integrates seamlessly with your workflow, enabling you to scale effortlessly and maintain full control, while we deliver precise, technology-driven fund administration.
Frequently Asked Questions (FAQs)
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