The provision of accurate and timely financial and performance information to investors is a crucial part of any fund. MJ Hudson’s specialist team of fund accountants and administrators are here to ensure that all the accounting information, investor reports, statements and onboarding procedures are being communicated to investors accurately and in line with industry expectations.
Fund managers need to know that they have access to reliable and accurate data at any time. This ultimately feeds up to your investors. If investors are confident that the fund they invest in is being run efficiently and they have access to a back office function which can walk them through such data they are more likely to invest in future funds.
Operational in key fund jurisdictions our team adopt a hands, proactive and flexible approach. With a core focus on servicing investors as well as clients knowing that investor sentiment and confidence in fund operations is hugely valuable as our clients grow. Handling back office deliverables such as AML / KYC checks on investors, Manager reporting, NAV calculation and annual audit is an important function. We deliver these commercially whilst being acutely aware of the drive to minimise operational risk for managers and investors alike.
"We took advantage of of MJ Hudson's bespoke and professional approach in when setting up our first UK-based fund of funds. We would therefore highly recommend MJ Hudson as a leading player in the industry for their expertise and flexibility."
Gabriele Bandini, Quadrivo Capital
"Having thoroughly researched the various options available we ultimately decided to engage with MJ Hudson. We found they were a thoroughly professional firm committed to establishing knowledge about who we were and what we were doing. We were quickly and efficiently on boarded onto the platform and the team have been engaging and professional whilst adding value at all times."
Mark Beeston, Illuminate Financial
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