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TAXAJ Corporate Services LLP - Financial Doctors

Fund Accounting & Management Services

Fund accounting and financial reporting is becoming increasingly complex with increased demand for more data, greater transparency and quicker turnarounds. The rapidly evolving regulatory landscape can make financial reporting across fund structures a time consuming and daunting task. Our experienced fund accountants streamline and simplify your accounting processes across your fund’s portfolio and lifecycle. This enables you to deliver on your investor tax and financial reporting obligations across a wide set of asset classes and jurisdictions.

The priority of any fund manager is to generate returns for investors. But day-to-day fund administration, accounting and compliance can easily become a hindrance to the real work. And strict punishment for late filing only adds to the pressure you'll be feeling as a manager to keep investors happy. You want them to have complete confidence – not just in their fund’s administration, but in its financial reporting too. ​​

Managing complex and diversified portfolios of funds and managed accounts requires attention to transparency and increasingly diligent reporting. But that tends to take away from the preferred focus on analysing and selecting funds, with time spent taking care of administration and laborious reports.​

At TAXAJ, we offer a personalised service of the highest possible quality, which includes an expert period-end process that guarantees you’ll meet your deadlines. We're among the world’s leading providers of fund administration by assets under administration (AuA). Our expert accounting teams are fully qualified to prepare fund reporting and financial statements in accordance with your required accounting standard. ​


By understanding your fund’s investments, as well as the effect of foreign exchange and any fees and expenses, our accounting teams can accurately calculate the net asset value of the fund for you.​


We perform accounting for real estate, private equity, hedge funds and fund of funds including services such as day-to-day accounting, management reporting, consolidation services, NAV calculation per fund guidelines, and financial statements preparation. Our professional teams are also experienced at GAAP, Industry guideline and manager-specified variations.


We have extensive experience managing the distribution of fund profits to partners and executives. We recognise that calculating the waterfall correctly is a key administrative element for the manager and the investors, and offer qualitative checks in the interest of all parties. ​

Our Fund Accounting Services help you to:

Stay in control of your fund’s accounts

Our teams ensure swift turnarounds for all financial reporting and investor requirements so that you can meet all regulatory and investor reporting deadlines.

Focus on your investment strategy

We provide you with the time to focus on your core business and investment decisions by taking care of the accounting burden.

Insights through bespoke reporting

Our market-leading, scalable technology platform, eFront, enables us to quickly process ad hoc reporting requests, automate complex accounting calculations, and create customised reports at both the investor and fund level.

Improve data hygiene

We know accurate and timely fund accounting is critical when monitoring and reporting on investments. We implement standardised data models throughout your fund structures to ensure the seamless transfer of data every time.

Increase your speed to market

With over 300 experienced fund professionals, our onboarding and solutions team works with you in the lead up to the fund launch to understand your specific reporting needs and to ensure a seamless transition to business as usual.

Protect your data

Our systems have multiple layers of defence and robust quality control and assurance processes that ensure the highest levels of data quality, control and accessibility.

Fund Accounting Solutions

Preparation of Annual Financial Statements

Preparation of Annual Financial Statements

Production of annual financial statements in accordance with relevant accounting standards on a consolidated or standalone basis.

Preparation of Management Accounts

Preparing Management Accounts

Preparing management accounts on a quarterly basis.

NAV Calculations

Calculating Net Asset Value

Calculation of the fund net asset valuation on a daily, monthly, quarterly, semi-annual or annual basis.

Tailored Fund Reporting

Creating bespoke reports at fund and investor level.

Fee Calculations

Performing complex fee calculations such as distribution waterfalls and management fees.

Audit Liaison

We will engage with key stakeholders to ensure smooth completion of the audit process.

Portfolio Analytics & Reports

We will provide you with detailed and accurate investment and investor performance analytics