Services
Amongst others, the Services offered by the Apex Group include:
Fund Valuation and Reporting
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Fund Accounting i.e. maintenance of the general ledger for each Fund, including system generated fee calculations and accruals.
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Reconciling open positions, bank accounts and where possible, general ledger accounts with the Fund Manager, custodian, prime broker and/or external parties.
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Performing the calculations of net asset value (“NAV”), unit price and percentage returns.
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Management and Performance Fee Calculation.
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Preparation of unaudited Financial Statements.
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Liaising with appointed counterparties including auditors, custodian and prime brokers.
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Preparation of audit files for auditors.
Unit Registry
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Unit holder records and transaction history.
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Processing applications and redemptions.
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Performing Anti-Money Laundering and Counter-Terrorism Financing checks.
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ncome Distributions and Statements.
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Investor Statements (as required).
Middle Office
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Reconciliation of open positions.
Treasury
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Bank Account maintenance (where required).
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Processing investors’ applications and/or redemptions and payment of any third party disbursements on behalf of the Funds (if required).
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Investor confirmations.
Reports
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Preparation of open positions reports.
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Tax distribution statements.
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Distribution statements to investors
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Post trade mandate compliance reports (where required).
MDA Administration
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Portfolio valuations.
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Maintenance of accounting records.
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Maintenance of MDA trade history.
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Reconciliation of cash and open positions.
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Fee calculations.
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Tax Statements.
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Reporting.
Network of Providers
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Custody.
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Responsible Entities.
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Trustees.
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Marketing Experts.
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Hedge Funds.
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Fund Auditors.
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Accountants.
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Tax Specialists.
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Legal Services.
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Prime Brokers.