Skip Navigation LinksFundAccounting

 

‚ÄčComprehensive Solutions  


Fund Administration

Transfer Agency

Fund Accounting 

Fund Distribution

 

Mutual Fund Info    


Why Start a Fund?

Start-up Costs

Mutual Fund Distribution

 

 

More Information


 

              

Please Click Here to read view our Company Profile.

Download the latest vesion of Adobe Reader here.‚Äč

FUND ACCOUNTING

At Commonwealth, our Fund Accounting services are designed to accurately and efficiently manage the accounting and reporting aspects of operating a mutual fund. We retain highly qualified personnel and use state-of-the-art accounting software to provide the pricing and reporting services essential to mutual funds and investment advisors including:  

 

  • Calculate daily Net Asset Values and ensure for accuracy
  • NASDAQ reporting
  • Calculate daily dividend rates, average maturities, and yields
  • Record security and cash transactions
  • Record corporate actions; such as dividends and stock splits
  • Calculate any fund distributions required for tax purposes
  • Process trade settlements
  • Perform automated reconciliation with custodians
  • Manage fund expenses through a budget process and ensure any expense limitation is enforced
  • Facilitate and assist with annual audits and SEC Examinations
  • Utilize technology that is scalable to industry and regulatory changes
  • Provide a high-degree of reporting and financial statement customization
  • Assist with Annual SSAE 16 Internal Control Audit