NAV Calculation & Share Class Controls
Core NAV & Share Class Controls
NAV Detail Control
Validate NAV values, prices, capital, and income between two data sources.
Quickly identify breaks and confirm accuracy across systems.
Launch vs Liquidation Control
Compare fund and share class lists to flag new launches or liquidations.
Stay on top of lifecycle changes without manual tracking.
Share Class Divergence Control
Monitor price movements across share classes or benchmarks.
Detect unexpected variances early.
Benchmark Control
Reconcile NAV movements against supplied benchmarks.
Confirm performance trends match expectations.
NAV Oversight Made Simple
Fund Recs automates NAV validation so your team can focus on analysis, not manual checks.
Every control runs automatically, highlighting issues before they become problems.
Why NAV Oversight Matters
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Protects investors by ensuring fair and accurate fund valuations
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Builds trust with regulators and clients through independent verification
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Prevents costly NAV errors before they reach the market
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Reduces reputational risk from mispriced or misstated NAVs
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Improves governance and accountability across the fund lifecycle
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Frees teams from manual checks so they can focus on analysis
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Supports faster sign-off and smoother reporting cycles
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Strengthens control frameworks in line with regulatory expectations
Confident, Automated NAV Oversight
Fund Recs delivers complete control over your NAV process. Daily automated checks verify every value, detect errors early, and provide clear visibility across all funds. With rapid setup, seamless integration, and scalable coverage, teams cut manual work, reduce risk, and gain transparent, reliable oversight for clients and regulators.
The NAV Oversight Challenge
Fund oversight teams face growing pressure to validate NAVs quickly and accurately. Multiple data sources, tight deadlines, and complex fund structures make manual checks slow and error-prone. Missed breaks can lead to incorrect valuations, regulatory scrutiny, and reputational damage. Without automation, maintaining consistent, independent oversight across all funds becomes nearly impossible.
How Fund Recs Helps
Fund Recs automates NAV oversight from end to end. The platform runs daily controls across all funds, comparing values, prices, and benchmarks to detect issues instantly. Exceptions are clearly flagged, making reviews faster and more accurate. Teams gain full transparency, an auditable process, and confidence that every NAV is independently verified without relying on manual checks or spreadsheets..
Why It Matters
NAV accuracy isn’t optional. Fund Recs catches any differences that can lead to NAV errors and generates one-click evidence—shortening investigations, strengthening audit readiness, and giving you confidence across funds and administrators.