Fund Accounting

Navigate Complex Fund Structures with Precision. Our Fund Accounting Software is purpose-built for managing capitalized and unitized funds, supporting advanced capital flows, investor metrics, and multi-layered fee mechanics—all in one integrated platform.

Key Features

Investor Management & Commitment Tracking

Streamline investor onboarding, commitments, and lifecycle tracking. Maintain complete oversight of each investor's position within complex fund structures.

  • Centralized investor registry with multi-currency support
  • Commitment lifecycle tracking: initial, incremental, and reduced
  • Segmentation by class, tranche, or share series
  • Automatic computation of ownership percentages across vintages
  • Full audit trail for all investor transactions and updates

Capital Calls, Distributions & NAV Allocation

Automate capital events and pro-rata allocations with confidence. Easily initiate and track calls, distributions, and valuation events across all investor tiers.

  • Generation of capital call and distribution notices with templates
  • Pro-rata or custom allocation by vintage, tranche, or investor group
  • Support for recallable and non-recallable capital
  • Real-time cash flow waterfall simulation per investor
  • Historical capital activity dashboard with exportable reports

Investor-Level Performance Metrics

Deliver precise, investor-specific returns and private equity indicators. Track personalized KPIs like IRR, TVPI, DPI, and RVPI with full transparency.

  • Automated IRR and time-weighted return calculations
  • Real-time TVPI, RVPI, DPI and MOIC at investor and fund level
  • Drill-down to underlying transactions and cash flows
  • Scenario modeling for future investor performance
  • Export-ready investor performance statements

Robust Valuation & NAV Automation

Confidently value every asset—liquid or not. Automate valuation workflows across complex portfolios. From listed securities to illiquid assets, ensure consistency, transparency, and audit-readiness.

  • Support for internal and third-party valuations
  • Automated NAV calculation at any level
  • Track vintage, cost, and fair value for private markets
  • Apply and enforce custom valuation policies
  • Full audit trail and version history

Multi-Layer Fee & Expense Engine

Support complex and dynamic fee arrangements with precision. Calculate management fees, carried interest, and expenses across varied fund structures.

  • Support for a wide range of fee types, including flat fees, management fees, and incentive/performance fees (with support for hurdles and high-water marks, alone or in combination)
  • Ability to configure fees at the share class level, with exception handling for specific investors, classes, or agreements
  • Automatic fee accruals and expense allocations across funds, classes, and investors
  • Ability to calculate and apply rebates to investors, based on either total fees paid or total invested amount
  • Full visibility into underlying fee and rebate calculation formulas, assumptions, and methodologies
  • Detailed fee and rebate reporting at the investor level, class level, and consolidated fund level

Ready to Take Your Investment Management to the Next Level?

Let us show you how Webfolio® can transform your operations, simplify your architecture, and elevate your client experience.

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