Rising complexity in fee calculations is creating a major operational burden for Limited Partners (LPs) in hedge, private equity, and hybrid funds. Fee structures that were once standard are now much more complex with intricate and increasingly unique attributes.
Join Matt Macomber and Sean Brown of SS&C Advent, for a discussion on investor accounting challenges and potential solutions, such as:
- Supporting complex fee calculations in open-ended, closed-end, or evergreen fund structures
- Providing configurable reporting, including the flexibility to dynamically generate data by capital account, investor entity, series, class, or fund
- Automating operational workflows to help your firm better manage risks, drive profitability, and satisfy investor demand
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