ALPS provides accounting and reporting services to hedge funds, commodity pools, fund of funds, family office vehicles and other open-ended alternative investment vehicles. Our services include maintaining funds’ books and records, establishing investor capital accounts, calculating management fees, performance fees and carried interest, and preparing financial statements. We pride ourselves on our responsiveness, attention to detail, industry knowledge, and ability to make it easier for you to conduct your business.
Click on the image to view the Hedge Fund Services Workflow Model
Our reporting is customizable and includes financial statements, capital account statements, and supporting work papers and schedules. ALPS LIVE™, a robust proprietary system developed by our expert team of software engineers, enhances Advent Geneva® and Advent Partner® and allows for tailored reporting solutions, designed to meet your needs.
Through the use of our secure, web-based portal, we are able to safely communicate with both our clients and their investors and easily share the documentation each party requires. On the portal, our clients have access to their fund NAVs, portfolio reports, and supporting information and investors have access to their account statements, subscription and offering documents, marketing information, and Schedule K-1s.