Monitoring Solution Pricing Control Fee Control Exchange Rate Control ARRANGE A DEMO NAV Oversight VIEW BROCHURE NAV Recalculation Asset Valuation Control Interest Rate Control
NAV OVERSIGHT MONITORING SOFTWARE
An automated control framework which streamlines the NAV validation process and provides assurances over the accuracy and integrity of fund valuation.
In addition to intra-day real time checking of the NAV, it also supports compliance/audit depositary oversight activities and periodic NAV validation exercises, ensuring that oversight activities are properly focused.
NAV vs Official NAV
The value of all assets uploaded is summed and compared to the official NAV for the fund. Differences outside of tolerance are flagged.
Analysis of today’s NAV price with previous day’s NAV price, highlighting movements outside of tolerance. Analysis at portfolio level, asset class level and instrument level.
Share Class Price Movement
The movement in price of different share classes within a fund, from previous day and over time, are analysed for consistency, including comparison vs benchmark.
Independent Price Check
Prices used within the fund NAV are reconciled to independently sourced prices. Differences outside of tolerance are then identified & their NAV impact assessed.
FX Rates Testing
Independent price checking of FX rates used within valuations. Differences outside of tolerance are then identified.
Illiquid and Difficult to Price Securities
Holdings in suspended/unquoted/illiquid and difficult to price securities are automatically identified and analysed. Also, monitoring of stale-priced securities.
Accurals testing to provide substantive and analytic testing of income and expense balances.