We provide asset managers, family offices and insurance companies with daily renconciled cash and position reporting using a dedicated state of the art cash and position reconciliation software. We automatically upload your Trade Files into our core administration platform on a daily basis. The portfolio is independently priced and monitored for corporate actions. Three-way reconciliations are completed between us, the client and custodian/prime broker. Cash and position reconciliations breaks are reported to you for further action. Our secure 24/7 online reporting platform allows you to view daily cash and positions from anywhere in the world. To complement the daily administration support service, we also offer a daily performance and risk reporting solution through an enhanced reporting support service.