OUTSOURCED ACCOUNTING & FINANCIAL SUPPORT
Private Funds: Hedge / Venture Capital
- Maintain Shadow Books & Records
- Incentive Fee/Carry Calculation
- Tax preparation
- Schedule of Committed LP’s
- Closing documents per investment
- Monthly or Quarterly NAV package review with Fund Administrator
- Year-end review of GAAP Financial Statements prepared by Fund Administrator
- Fund Audit/tax preparation and liaison with accountants
