* New solutions added every week *
The #1 Library for Data Automation
Access a growing library of ready-to-use workflows that transform how you manage data and oversight.
Join leading firms like Neuberger Berman in asset management, Alchelyst in fund administration and SumiTrust in depositary, using Fund Recs to automate oversight and streamline operations.
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SolutionEnd-to-end platforms that address complete business workflows.
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ConnectIntegration tools that link data sources and systems across your operation.
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ControlAutomated oversight of key business processes.
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ReconcilePowerful reconciliation engine that deliver data accuracy, transparency and confidence.
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TransformData transformation modules that cleanse, enrich, and standardise information for downstream use.

Depo Oversight
Fund Recs is an end-to-end Depositary Oversight platform. This control centre showcases the most common oversight challenges, the risks they pose, and how our automated controls help firms reduce manual work, detect issues early, and strengthen compliance across all funds.
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NAV Oversight
Maintain investor confidence and ensure the accuracy, compliance, and transparency in how your NAV is calculated and reported. Our platform gives you the tools to remove manual friction and increase efficiency through automation.

EMIR Oversight
Ensure your reporting meets the complete, accurate, and timely standard using automated data ingestion, rules-based matching, a powerful data quality check, and customised reporting for all stakeholders.

ASIC Oversight

Collateral Reconciliation
The Collateral Reconciliation process compares your internal collateral records with those from counterparties or custodians to ensure all positions and values align. It helps identify breaks, resolve disputes, and maintain confidence in your collateral management process.

Trial Balance Reconciliation
Fund Recs automates the entire Trial Balance reconciliation process. The platform ingests and standardises data from all sources, runs detailed balance checks, and instantly flags discrepancies for review.

Forwards Reconciliation
Automate the reconciliation of forward positions: comparing internal records with counterparty, custodian, or third-party feeds. Streamline your daily workflows using rules, tolerance thresholds, and automated matching logic.

Futures Reconciliation
Fund Recs simplifies futures reconciliation across administrators, custodians, prime brokers, and internal systems. The workflow automatically compares data between sources, instantly highlighting breaks and discrepancies.

Dividend Reconciliation
Accurate dividend reconciliation ensures investors receive the correct income and that fund valuations reflect the true financial position. It prevents missed or duplicated payments, reduces manual errors, and supports clean NAV calculations.

DTCC
With direct DTCC connectivity, clients can seamlessly deliver data into workflows supporting EMIR, UK EMIR, and SFTR.

EMIR Data Quality Check
Poor data quality undermines EMIR compliance. Fund Recs applies hundreds of daily validation rules to ensure data accuracy, completeness, and timeliness.

SWIFT File Ingestion
Fund Recs automates the ingestion and processing of SWIFT messages, turning complex financial data into clear, actionable information. The platform reads multiple SWIFT formats, standardises the content, and feeds it directly into reconciliation and downstream workflows.

EMIR Position Rec
Reconciliation between the Trade Repository and the Book of Records to ensure completeness, accuracy and timeliness.

Fund Data ETL
Ingest it. Normalise it. Validate it. Enrich it. Transform it. Filter it. Upload it. Oversee it. Deliver it. Whatever it is, do it with Fund Recs.

BNP
With automated BNP interfaces, clients can seamlessly deliver data into workflows from both BNP Fund Admin & BNP Custody.

Cash Reconciliation
Reconcile your cash movements and balances between the accounting system and broker statements with accurate, scaleable workflows. Fund Recs offers a fully straight through reconciliation process, removing manual intervention.

NAV Calculation & Share Class Controls
Add controls to check a funds NAV calculations and share classes. We offer dozens of individual checks you can automate.

REGIS-TR
With direct REGIS-TR connectivity, clients can seamlessly deliver data into workflows supporting EMIR, UK EMIR, and SFTR.

Cash Flow Monitoring
Automated and customisable workflows for the oversight and monitoring of daily cash flows, focusing on transparency, exception handling, and compliance. Track exceptions, manage transactions, and maintain a clear audit trail.

KDPW
With direct KDPW connectivity, clients can seamlessly deliver data into workflows supporting EMIR, UK EMIR, and SFTR.

ASIC Data Quality Check Workflow
Poor data quality undermines ASIC compliance. Fund Recs applies hundreds of daily validation rules to ensure data accuracy, completeness, and timeliness.

LSEG
With direct LSEG connectivity, clients can seamlessly deliver data into workflows supporting EMIR and UK EMIR.

Position Rec
Automate the reconciliation of positions, ensuring accurate comparison of data between internal records and third-party sources. Streamline daily workflows with flexible, auto-matching processes that improve efficiency.

BBH
With automated BBH interfaces, clients can seamlessly deliver data into workflows from both BBH Fund Admin & BBH Custody.

EMIR Margin Reconciliation
Margin and collateral mismatches create compliance gaps. Fund Recs reconciles Margin State Reports against expected positions to ensure accurate reporting.

BNY
With automated BNY interfaces, clients can seamlessly deliver data into workflows from both BNY Fund Admin & BNY Custody.

General Ledger & Trial Balance Controls
Add controls to check a funds cash and capital. We offer dozens of individual checks you can automate.

CACEIS
With automated CACEIS interfaces, clients can seamlessly deliver data into workflows from both CACEIS Fund Admin & CACEIS Custody.

CIBC
With automated CIBC interfaces, clients can seamlessly deliver data into workflows from both CIBC Fund Admin & CIBC Custody.

Citco
With automated Citco interfaces, clients can seamlessly deliver data into workflows from both Citco Fund Admin & Citco Custody

Asset Register

Citi
With automated Citi interfaces, clients can seamlessly deliver data into workflows from both Citi Fund Admin & Citi Custody.

DNB
With automated DNB interfaces, clients can seamlessly deliver data into workflows from both DNB Fund Admin & DNB Custody.

Position & Valuation Controls
Add controls to check a funds positions and valuations. We offer dozens of individual checks you can automate.

Goldman Sachs
With automated Goldman Sachs interfaces, clients can seamlessly deliver data into workflows from both Goldman Sachs Fund Admin & Goldman Sachs Custody.

J.P. Morgan
With automated JPM interfaces, clients can seamlessly deliver data into workflows from both JPM Fund Admin & JPM Custody.

Morgan Stanley
With automated Morgan Stanley interfaces, clients can seamlessly deliver data into workflows from both Morgan Stanley Fund Admin & Morgan Stanley Custody.

Cash & Capital Controls

MUFG
With automated MUFG interfaces, clients can seamlessly deliver data into workflows from both MUFG Fund Admin & MUFG Custody.

Transfer Agency (Investor Services) Recs
Ensure investor funds are fully reconciled and accounted for, using automated workflows and detailed reporting, to reduce risk and enhance accuracy in managing transfer agency accounts.

Northern Trust
With automated Northern Trust interfaces, clients can seamlessly deliver data into workflows from both Northern Trust Fund Admin & Northern Trust Custody.

ASIC Position Reconciliation

Societe Generale
With automated Societe Generale interfaces, clients can seamlessly deliver data into workflows from both Societe Generale Fund Admin & Societe Generale Custody.

EMIR Margin Data Quality Check
Margin data errors compromise reporting quality. Fund Recs validates Margin State Reports with robust rules to safeguard accuracy and compliance.

SS&C
With automated SS&C interfaces, clients can seamlessly deliver data into workflows from both SS&C Fund Admin & SS&C Custody.

Investor & Transfer Agency Controls

State Street
With automated State Street interfaces, clients can seamlessly deliver data into workflows from both State Street Fund Admin & State Street Custody.

Rejected Trades Report
Unresolved TR rejections cause under-reporting. Fund Recs normalises rejection files so you can quickly identify, track, and resolve issues.

SuMi TRUST
With automated SuMi TRUST interfaces, clients can seamlessly deliver data into workflows from both SuMi TRUST Fund Admin & SuMi TRUST Custody.

UBP
With automated UBP interfaces, clients can seamlessly deliver data into workflows from both UBP Fund Admin & UBP Custody.

Income, Expense & Accrual Controls
Add controls to check a funds income, expense and accruals. We offer dozens of individual checks you can automate.
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