Product
Accounting and Multi-jurisdictional NAV
Manage investment funds across different jurisdictions with a single solution - PMplus®.
PMPlus® automates your accounting tasks, from transaction recording to financial statement generation. Stay in control of your portfolio’s performance, effortlessly track cash flows, and reconcile accounts with ease. Gain real-time visibility into your financial data so you can focus on making the right investments.
The user can simulate their NAV before crystallization, to verify that everything is correct. Color coding identifies which NAV calculations are simulated and which have been crystalized. Once the simulation is approved, the NAV can be validated. This facilitates a user friendly NAV approval workflow. Multiple share classes may be attached to the fund and then PMplus calculates the necessary coefficient and allocates the profit & loss accordingly..
Experience the transformative power of PMPlus®, and revolutionize your accounting and multi-jurisdictional NAV calculations. Simplify your processes, save time, enhance accuracy, and acheive greater efficiency. Upgrade to PMPlus® and optimize your investment management operations today.