Home Solutions & Services Knowledge Partnership About Us Contact Us

Private Equity Fund Accounting Services

Accounting Services
  • Maintain books and records of the fund in accordance with the fund's governing documents
  • Track investor commitments, capital calls and distributions
  • Maintain subsequent close records and calculate closing interest charges
  • Establish investor allocation rules and maintain capital accounts
  • Process transfers or assignments of member interests
  • Calculate management fee and carried interest amounts
  • Maintain ledger of fund's investor and investment transactions
  • Review and process investment valuations
  • Calculate performance returns at investor, product and investment level
  • Maintain fund's audit package
  • Liaise with auditors and coordinate audit timetables

© 2005-2008 SEI Legal Disclaimer  |  Privacy Policy  |  Sitemap  
Mutual Fund Outsourcing Solutions
SMA Outsourcing Solutions
Hedge Fund Outsourcing Solutions
Private Equity Fund Outsourcing Solutions
SEI Trading Services
What is the Knowledge Partnership
Mutual Fund Compliance
Hedge Fund Compliance
Client Login
Press Releases
Our Offices
Our Culture
Awards and Accolades
Mutual Fund Accounting
Mutual Fund Administration
ComplianceAdvantage Program
Marketing and Distribution
Series Trust
Offshore Solutions
Account Administration
Account & Trade Reconciliation
Manager Trade Support
Technology & Integration
Workflow & Data Management
Performance Calculation & Reporting
Hedge Fund Accounting
Hedge Fund Administration
Investor Servicing
Trustee & Custodial Services
Treasury Services
Reporting Services
Accounting Services
Treasury Services
Limited Partner Servicing
Reporting
Tax Services