Route de Divonne 44
CH-1260 Nyon 2
Phone : +41.22 738 84 00
Fax : +41.22 738 84 08
Email : marketing@cpc-cps.ch


Description

CONCEPT Funds Management is based on a repository / XRM (eXtended Relationship Management) in which are entered the main characteristics of data related to this activity such as:

  • Funds and sub-funds with:
    • The main linked parties (Promoter, custodian bank, administrator, transfer agent, management company, distributors, auditor, supervisory authority, etc.)
    • Documents management
    • Parameters of liquidity
    • Other (Creation date, strategy, high water mark ...)

  • Fund shares holders
  • Sellers, sub-sellers
  • Exchange rates, securities prices (interface available)
  • Historical values of net asset values (NAV)
  • Etc.

CONCEPT Funds Management enables to:

  • Input subscriptions, redemptions, transfers and switches
  • Keep a record of the funds shareholders
  • Know the allocation of shares by sellers, sub-sellers, distributors

CONCEPT Funds Management enables the:

  • Valuation of assets held by funds and sub-funds and their automatic posting in accounting
  • Periodical calculation of the Net Asset Value (NAV)
  • Reporting for investor or internal reporting

By using of our banking interface CONCEPT Processus, you will also gains significant productivity with the automation of the transactions processing.

A retrocession management module is also available. It allows to define and calculate retrocession to sellers, sub-sellers, and distributors.