Best PAM Alternatives in 2026
Find the top alternatives to PAM currently available. Compare ratings, reviews, pricing, and features of PAM alternatives in 2026. Slashdot lists the best PAM alternatives on the market that offer competing products that are similar to PAM. Sort through PAM alternatives below to make the best choice for your needs
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Dynamo Software
Dynamo Software
68 RatingsUnlock precision and clarity in alternative investments with Dynamo Software, a cloud-native, AI-powered platform that unifies your entire workflow. We provide a single, configurable solution for your front-, middle-, and back-office needs. For General Partners (GPs), Dynamo enhances every stage of the investment lifecycle with advanced CRM, deal pipeline tracking, fundraising tools, and secure investor relations and fund accounting reporting. For Limited Partners (LPs), our platform delivers real-time research and portfolio management capabilities. We automate document ingestion, data extraction, and holdings enrichment, providing deep exposure analytics for informed decision-making. Dynamo serves a wide range of private capital firms, including private equity, venture capital, real estate, hedge funds, and infrastructure. Our platform is also tailored for endowments, pensions, foundations, family offices, fund of funds, and fund administrators. By centralizing all investment data into a single source of truth, we equip your team with the control needed to uncover powerful insights. Our AI-driven system automates data ingestion and tagging, while our HoldingsInsight feature enriches portfolio data for advanced analysis. All modules work together seamlessly, supported by a dedicated Client Services team committed to your success. With Dynamo, you can streamline operations, improve data accuracy, and drive strategic decisions with confidence. -
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ZenTreasury
ZenTreasury
9 RatingsZenTreasury is a modern cloud-based platform designed to simplify IFRS 16 lease accounting and streamline treasury operations in a single, easy-to-use system. It is ideal for companies managing anything from a few to several thousand leases, offering a scalable and secure environment to automate key processes and eliminate spreadsheet risk. The lease accounting module supports full IFRS 16 compliance, including automated lease classification, reassessments, modifications, termination handling, and journal entry creation. ZenTreasury generates accurate disclosure reports and supports multi-currency, multi-entity structures, cost center allocations, and role-based access control. Built-in audit trails ensure transparency and external audit readiness. In addition to lease accounting, ZenTreasury includes powerful treasury tools for managing financial instruments such as internal and external loans, FX contracts, guarantees, letters of credit, and interest rate derivatives. The platform also provides features for cash forecasting, liquidity planning, and automated treasury accounting. ZenTreasury integrates easily with core business systems, enabling seamless data flow and process automation. It is hosted on secure, enterprise-grade cloud infrastructure and supports fast onboarding, enabling teams to go live quickly without long implementation projects. Trusted by enterprises globally, ZenTreasury empowers finance teams with visibility, compliance, and control in both lease and debt management. Whether you are replacing spreadsheets or upgrading from a legacy system, ZenTreasury delivers the automation and structure needed to modernize your financial operations. -
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Portfolio Genius
TPG Software
Precision in the processes of accrual, accretion, and amortization must align with the existing Generally Accepted Accounting Principles (GAAP) regarding concessions related to debt, fees, premiums, discounts, and accrued interest, which are computed using a variety of day count methodologies, alongside adherence to the International Financial Reporting Standards (IFRS). Furthermore, meticulous management, monitoring, and forecasting of the financial aspects tied to fixed-income securities, including but not limited to principal and interest disbursements, coupon rates, interest rate resets, call dates, and factors pertaining to Mortgage-Backed Securities (MBS) and Collateralized Mortgage Obligations (CMO), as well as Conditional Prepayment Rates (CPR) and Prepayment Speed Assumptions (PSA), and maturities, are essential. Interest rates can be derived from mathematical formulas that incorporate embedded indexes, along with caps and floors where applicable. Additionally, implementing automated back-office operations such as seamless data entry, maintenance of business calendars, calculations for principal and interest payments, and thorough reconciliation processes enhances overall efficiency and accuracy. The integration of these automated systems not only streamlines operations but also significantly reduces the potential for human error in financial reporting. -
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Total Return
SS&C Technologies
SS&C GlobeOp’s Total Return is a comprehensive system for portfolio management, investment accounting, partnership accounting, and general ledger operations, specifically tailored for alternative investment funds and family offices. This multi-currency platform adeptly handles complex securities and sophisticated investment strategies, catering to the intricate ownership structures and unique tax obligations that often accompany family office investments and private wealth funds. Beyond its cutting-edge portfolio management features and general ledger capabilities, the system also offers complete partnership accounting, facilitating automated valuation processes based on capital or shares, efficient income and expense allocations to partners, management fees, and the generation of detailed partnership reports. By integrating fund accounting, partnership accounting, and tax processing into a single platform, it not only streamlines operations but also mitigates potential operational risks, ultimately saving valuable time for users. This all-in-one solution is essential for those looking to enhance their operational efficiency and accuracy in managing complex investment portfolios. -
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Axys
SS&C Advent
Streamline your portfolio reporting and accounting processes with a comprehensive solution that minimizes the need for IT assistance. In the wealth management sector, building relationships is crucial, and there is no alternative to the quality time spent with clients. SS&C Advent’s Axys® offers an extensive collection of ready-made reports alongside simple customization options, enabling firms to enhance efficiency and reduce time spent on tasks. As an integral component of the robust Advent Investment Suite, Axys is designed to boost your productivity, enhance precision, and deliver a transparent overview of your portfolios and their performance, all while maintaining your current operational framework. The system automates the reconciliation of trade details, settlement information, transactions, and positions seamlessly. Ultimately, SS&C Advent’s premier portfolio management solution introduces speed, accuracy, and adaptability into all aspects of your portfolio management and accounting operations, allowing you to focus more on client interactions and less on administrative tasks. -
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Geneva
SS&C Advent
Enhance your competitive edge with a portfolio management solution that accommodates various asset classes, multi-currency portfolios, and intricate global fund structures. Geneva is specifically tailored for operational scalability, effectively eliminating barriers that hinder the seamless introduction of new business lines. This robust solution enables business growth through a core portfolio management framework that streamlines operations. By utilizing Geneva, you can leverage a system that aligns with your business needs and budget, integrating software, cloud delivery, and co-sourcing. Whether deployed locally or via the cloud, Geneva offers real-time portfolio management, accounting, investor accounting, and comprehensive reporting capabilities. Furthermore, with Geneva World Investor, both portfolio management and investor accounting are unified within a single platform, providing a streamlined experience. Geneva is meticulously crafted to ensure operational scalability, facilitating the effortless adoption of new business initiatives while enhancing the overall efficiency of portfolio management, accounting, and reporting processes. -
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PackHedge™
FinLab Solutions SA
$5,000 per year 3 RatingsPackHedge™, the world's leading investment industry solution, is the best for Alternative/Hedge funds and Private Equity funds. It also works with traditional/mutual funds as well as many other investment instruments (UCITS. ETF. Equities. Real Estate. Forwards. Currencies. empowering quantitative and qualitative research and analysis, risk analysis, stress testing, scenario analysis, exposure analysis, contribution and attribution analysis, asset allocation, portfolio construction and management, shadow accounting for portfolios, managed accounts and funds of funds, with liquidity and cash flow forecasting/analysis, due diligence, document management, workflow, CRM (client relationship management), compliance, KYC and financial innovation. A collection of state-of-the-art modular software tools integrated into a single platform. This allows for unmatched data management models for multi-source, multiple-frequency, and multilingual qualitative and quantitative data. -
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Vidrio
Vidrio
Vidrio serves as a comprehensive investment platform tailored for institutional allocators such as endowments, pension funds, family offices, fund of funds, OCIOs, and asset managers, integrating data aggregation, software solutions, and managed services. This platform facilitates various functions, including manager research and due diligence, portfolio construction with both pre- and post-trade rules, compliance monitoring, operational controls, account-level valuation and reconciliation, as well as performance and exposure analytics, risk aggregation, stress testing, and customizable reporting alongside investor portals. With more than $100 billion in alternative assets managed through over 1,000 external managers, Vidrio accommodates diverse investment vehicles including hedge funds, private equity, private credit, real estate, liquid alternatives, and separately managed accounts (SMAs). The platform's utilization of AI-driven data extraction and enrichment, supported by a combination of automation and expert supervision, guarantees a high level of transparency and precision, complemented by automated workflows, trade management capabilities, and cash-flow forecasting. Furthermore, its ability to streamline complex investment processes makes it a vital tool for institutional investors aiming to enhance their operational efficiency and decision-making processes. -
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Broadridge Investment Accounting
Broadridge Financial Solutions
Broadridge Investment Accounting stands out as a distinguished software solution that offers a comprehensive platform encompassing global asset classes, multi-currency capabilities, and real-time processing, along with expert accounting services designed to establish an investment book of record. This intuitive and budget-friendly solution provides detailed, precise, and prompt information and visualizations that facilitate compliance, trading activities, fiduciary oversight, and various essential functions in investment management. Noteworthy features comprise robust accounting and cash management, seamless integration of custodial and market data, a unified general ledger, and managed service delivery, among numerous other capabilities. By leveraging these features, firms can enhance their operational efficiency and ensure adherence to regulatory standards. -
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Fund-Studio
Fund-Studio
FundStudio offers hedge fund managers, commodity trading advisors, asset management firms, and family offices a comprehensive platform for real-time operations and reporting, along with outsourced managed services, ensuring they have complete insight into the status of their funds or managed accounts, as well as the essential tools for effective management. Users can capture transactions and trades through various methods, including real-time FIX connections, file uploads, API integrations, or manual input directly on the screen. The platform allows for the allocation of orders to different accounts and strategies, facilitating precise management. It also implements compliance measures like position limits and asset-class restrictions, along with more intricate programmatic rules like leverage adjustments. Users can monitor real-time intra-day profit and loss, while also defining various perspectives of data through dynamic "pivot tables" in real-time. Cash management is seamlessly handled, covering trade settlements, margin requirements, coupon payments, and principal movements. Additionally, users can forecast cash flow and fulfill investor due diligence questionnaire demands by collaborating with fund administrators to generate net asset values at both the master-fund and feeder fund levels. This holistic approach enables greater efficiency and transparency in fund management. -
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Seraf
Seraf
Unlock valuable insights to enhance your decision-making and optimize your investment strategies. Monitor capital commitments, fees, and calls seamlessly. Quickly refresh valuations as needed. Oversee your investments from a single web dashboard, guiding you from initial entry to final exit. Seraf simplifies the process, enabling you to establish your portfolio with ease in just a few straightforward steps. Gain a comprehensive overview, extract insights, and produce reports in a flash. Tailored by seasoned early-stage investors with over 25 years of expertise in fund management and development, Seraf adeptly navigates the intricacies of the current early-stage investment environment. Specifically crafted for early-stage investors, Seraf equips you with the essential tools necessary to manage your portfolio with maximum efficiency. By utilizing Seraf, you can elevate your investment approach and stay ahead in a competitive market. -
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Paragon
corfinancial
Effectively overseeing essential operations within fixed income portfolios utilized by financial institutions such as US banks is critical. Paragon serves as a comprehensive fixed income portfolio accounting solution that manages bonds and money market instruments through three key business functions: trade capture, processing, and reporting. By utilizing advanced accounting and position-keeping platforms, banks can effectively monitor their daily exposures. However, when it comes to delivering precise information to board members and stakeholders, traditional paper reports often fall short, appearing uninspiring and lacking in visual elements that highlight significant changes or exceptions. In contrast, Paragon provides a suite of reports—including inventory, cash flow, maturity, and management reports—that are enhanced with engaging graphics. This innovative approach not only offers improved insights for all stakeholders but also empowers decision-makers with actionable data drawn directly from Paragon’s comprehensive records, ultimately driving better business outcomes. By integrating visually rich reporting, Paragon facilitates clearer communication and supports strategic planning within the firm. -
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Valere
Retransform
Valere is crafted to assist asset managers, investors, lenders, and brokers in making well-informed choices regarding their assets. It provides solutions for assessing value during acquisitions or sales, conducting comprehensive cash flow analyses, and gaining insights into overall financial performance. Additionally, it focuses on optimizing the performance of your assets across the entire investment lifecycle, thereby streamlining the budgeting process. With the goal of transforming your data into strategic investment decisions, Valere allows for efficient management of various property valuations, investments, budgets, and portfolios, ensuring a holistic approach to asset management. This comprehensive tool ultimately empowers professionals to elevate their investment strategies and achieve better results. -
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Captools/net
Captools
$600 per yearCaptools Company licenses Captools/net (TM) investment portfolio tracking management software for independent broker-dealers, private financial advisors, investment advisor reps, private equity, fund managers, family offices, and independent wealth managers. Our encrypted, cloud based financial accounting software for selective data analysis allows your investment team to keep a private, independent record of your firm's investment performance with customized reporting for your clients. We perform this financial software support for customers worldwide, meeting a user tailored array of market, regulatory, and risk adjusted needs to help serve your optimal investment strategy. -
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BlazePortfolio
BlazePortfolio
Effortlessly implement intricate models while easily overseeing asset allocations throughout various portfolios. Efficiently manage order flow across diverse custodians as well as different asset and security categories. Attain Simple Tax Alpha through effective Tax Harvesting and Location Optimization strategies. Maintain a clear overview of cash balances with robust yet straightforward tools designed for daily cash management and intra-day cash oversight. Seamlessly connect with a broad range of portfolio accounting, reporting, custodian, and execution systems. The features are meticulously crafted to guarantee trading compliance and precision in data accuracy. BlazePortfolio® specializes in providing streamlined, user-centric trade management solutions tailored for investment managers, RIAs, wealth managers, broker-dealers, family offices, and industry collaborators. Effortlessly manage order flow across various custodians and security types while keeping a close watch on cash balances with efficient tools for daily and intra-day cash oversight. By implementing complex models, you can effortlessly monitor asset allocations across your portfolios with confidence and clarity. -
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Cachematrix
Cachematrix
Our customized solution, tailored for individual financial institutions, aims to give clients a competitive edge by enhancing the cash management experience for corporate investors. We offer a comprehensive investment platform that addresses the unique requirements of research, order execution, and reporting for both financial institutions and corporate treasury departments. Cachematrix's analytical tools offer detailed insights, customizable grouping, filtering options, and advanced modeling features. These functionalities empower users to create and sustain a portfolio aligned with their distinct investment goals. Additionally, our platform facilitates swift and straightforward execution of multi-instrument batch transactions, while providing administrators with the capability to manage access, establish compliance protocols, and grant user permissions effectively. This comprehensive approach ensures that our clients can navigate the complexities of investment management with ease. -
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PORTAX After-Tax Portfolio Analysis
PortaxSoftware
$49 per user per monthOptimizing after-tax portfolios and asset allocation involves evaluating investment strategies across multiple periods, focusing on metrics such as asset weight, market value, cost basis, cash flows, management fees, turnover, taxes, and after-tax returns for each individual asset. This comprehensive analysis can encompass up to 100 different assets over 120 distinct periods, with intervals that can vary from daily assessments to annual evaluations. Additionally, the framework allows for the creation of sub-portfolios tailored to various tax implications and ownership scenarios. By incorporating international asset class return series, one can enhance forecasting model inputs, while Monte Carlo simulations enable the testing of constructed portfolios under various market conditions. Furthermore, the "What If" portfolios feature allows for the development and comparison of customized investment strategies tailored to specific goals. The model also accommodates international currencies and tax rates, providing a global perspective on asset allocation. To account for economic cycles and shifts, the approach integrates time-varying asset returns and standard deviations, ensuring that strategies remain relevant in changing markets. Ultimately, this process culminates in extensive client reporting, tailored to meet the specific needs of each private client. -
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Kubera
Kubera
$12 per monthDiscover the ultimate modern portfolio tracker designed to manage all your assets seamlessly—both traditional and cryptocurrency. With the ability to connect to a multitude of global banks, brokerages, stocks, and currencies, you can keep your investments organized effortlessly. Link your online brokerage accounts or manually input individual stocks to monitor their current values in real-time. Access up-to-date balances from your cryptocurrency wallets and exchange accounts, or simply add your coins to keep tabs on your crypto portfolio's worth in your preferred currency. Kubera is compatible with over 20,000 banks across the globe and employs cutting-edge account aggregation technology, ensuring dependable connectivity to numerous online financial institutions worldwide. In addition, you can track the current value of your properties using real-time market data sourced from Zillow (available for the US only) and monitor the estimated market worth of your vehicles. Kubera also allows for the assessment of the market value of any web domain names you possess. Supporting almost every currency globally, you can combine your Japanese Yens with your Euros to create a comprehensive dashboard that displays their values in your local currency, providing you with a clear overview of your financial landscape. This holistic approach to asset tracking empowers you to make informed investment decisions with ease. -
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MIMICS Portfolio Management
MIMICS
The MIMICS Portfolio Management software provides robust and adaptable solutions right out of the box to meet your organization’s portfolio management requirements. You can quickly implement our software thanks to its numerous customizable features, which easily accommodate various global and accounting standards. Moreover, a comprehensive array of standard interfaces seamlessly links with our software. Our software modules cater to proprietary trading, client trading, mutual funds, pension funds, hedge funds, and foreign-exchange reserves. The MIMICS Customer Portfolio Management module efficiently oversees your clients' trading activities while being scalable to fit your specific business demands. You can create an unlimited number of portfolios for countless customers across various investment types and currencies. It effectively manages a diverse range of investments, including equities, fixed income, equity derivatives, fixed income derivatives, commodities, repos, and more, ensuring that all aspects of your investment strategy are covered. This flexibility enables businesses to adapt to changing markets and client needs with ease. -
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iPlus
ITAfrica
iPlus is used by 85% of Central bank-licensed Investment Management firms in Africa. iPlus is an asset management solution that allows your organization to efficiently set up, monitor, and manage its investment portfolios. Using iPlus, your organization can manage its money market, equity, and property investments. This allows your organization to produce portfolio valuations at set intervals. Clients have access to web portals -
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i3DIY
Ownla
Making Rebalancing More Manageable Creating an asset allocation strategy for a portfolio may appear straightforward, yet adhering to that strategy can prove challenging. However, with the i3DIY platform, portfolio management and rebalancing become significantly less complicated. By establishing an i3DIY account, investors can integrate various investment accounts into the system and align them with tailored portfolio plans that feature specific asset allocations. Each of these plans is distinctly named, allowing for the flexibility to modify them as circumstances change. Users can either construct their own portfolios or select from available options on the platform. This functionality ensures that you can effortlessly monitor your investment goals throughout the year and beyond. Additionally, i3DIY provides a valuable feature that sends email notifications whenever any of your accounts fall out of balance. While minor fluctuations in the portfolio may go unnoticed, you will be promptly informed if the allocations deviate significantly beyond the set thresholds. This way, rebalancing becomes a more straightforward and manageable task for investors. -
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iDEAL Wealth & Funds
Credence Analytics
Over the past ten years, the solution has developed a robust array of business line offerings and possesses a comprehensive set of features. It encompasses Front Office functionalities such as pre-deal assessments, real-time portfolio positions, cash flow management, and profitability tracking, alongside Back Office tasks including deal settlements, corporate action postings, MTM valuations, accounting, and NAV generation, thereby addressing the full spectrum of investment management needs. Additionally, FundSense, the business intelligence tool, streamlines the decision-making process, making it quicker, simpler, and more collaborative. Its user-friendly drag-and-drop capability facilitates the integration of data from various sources seamlessly. Users can design and access customized, interactive data visualizations and dashboards to enhance their decision-making experience. Furthermore, FundSense delivers rapid analytics and an engaging user experience directly on the user's desktop, significantly improving efficiency in operations. -
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The Archway Platform
SEI Family Office Services
In the early 2000s, SEI Family Office Services developed an advanced wealth management platform aimed at offering family offices and financial institutions a more cohesive alternative to isolated, single-function technology solutions. This platform, known as the Archway Platform, has proven its longevity and adaptability, simplifying complex processes by integrating essential accounting, investment data aggregation, and reporting tools into one cohesive system. Built upon a robust general ledger, this innovative technology streamlines the generation of accounting records across a wide range of business activities, including both traditional and alternative investment transactions, cash flows, bill payments, fee assessments, and capital distributions, ensuring that your accounting, investment, and administrative teams operate seamlessly within the same interface. Moreover, the built-in reporting capabilities of the Archway Platform enable users to harness detailed underlying data to create thorough and insightful financial reports, enhancing decision-making and strategic planning. Consequently, its design not only improves efficiency but also fosters collaboration among various teams, making it an invaluable asset for those in wealth management. -
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Pacer
SS&C Technologies
Pacer® offers a sophisticated multi-currency portfolio management solution tailored for investment managers operating on a global scale, particularly those handling substantial transaction volumes for institutional or private clients worldwide. This platform provides an all-encompassing and integrated system for overseeing securities, transactions, positions, cash flow, income, corporate actions, and meticulous record keeping. With its global multi-currency capabilities, users can effectively monitor transactions and portfolios while re-evaluating them in any desired currency. Pacer streamlines and expedites even the most complex processes involved in global portfolio accounting. Its comprehensive portfolio accounting ensures that all aspects of your business needs are met with a tried-and-true solution. Users benefit from real-time data access to global securities information through the SS&C-owned Securities Valuation Corporation (SVC). The robust web-based reporting feature grants the ability to access real-time portfolio data from any location with internet connectivity. Additionally, the architecture is designed to be both cost-effective and scalable, accommodating the evolving needs of investment management. Thus, Pacer® stands out as a vital tool for enhancing efficiency and accuracy in portfolio management across diverse markets. -
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PMplus
SuisseTechPartners
SuisseTechPartners, a market-leading cloud-native Portfolio Management System, was developed by industry experts with decades-long market experience. PMplus is a front-to-back wealth and asset management system. We offer a wide variety of products, including: Portofolio management System Accounting and Multi-jurisdictional NAV Investment Book of Record Partnership Accounting OMS Order Management IRM and Regulatory Compliance Management Fees and Billing Cash Management Multi-asset class Integration Data Management Platform Reconciliation Services Client Reporting and Web Portal Customer Onboarding and KYC GIPS Performance and VAR Modeling -
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PortfolioShop
PortfolioShop
$1500/month Cloud based, integrated, customized, simplified solution for Asset Managers, Asset Owners and Service Providers. -
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Carta
Carta
$2,800 per yearEquity. Simplified. Carta is a tool that helps investors and companies manage their equity plans, valuations, investments, cap tables, and capital plans. Start by creating your Carta cap table. Then, issue electronic securities, get 409A appraisals, and run liquidity events. Your cap table will remain updated automatically. Your cap table will stay up-to-date with all equity transactions and information in Carta. We help you to stay compliant when issuing equity or getting 409A valuations. Investors and employees can accept electronic securities and exercise options. They can also track vesting schedules. Carta assists more than 800,000 shareholders to manage equity worth $575 billion. Carta can help you, whether you need a captable and a 409A or are looking to run secondary transaction, leverage financial reporting, tax tools, and stay closer to investors. -
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MomentumTRUST
Momentum3
Upon logging into MomentumTRUST, users encounter a dashboard that showcases real-time snapshots of vital account metrics for their portfolios. This dashboard is crafted to facilitate strategic daily planning. By integrating with trading software, it aggregates transactions and pricing, thus offering users immediate valuations of all customer accounts. The social networking feature enables users to leave comments on nearly any entity and monitor changes over time. MomentumTRUST’s built-in CRM+ system streamlines the process of tracking and connecting with prospects, accounts, households, beneficiaries, grantors, and other third-party relationships involved in trust management. Whether you are working from the office or while traveling, you can conveniently assess and address client inquiries using MomentumTRUST’s portfolio analytics tools. Moreover, the platform's secure, in-system scanning and document storage capabilities allow businesses to efficiently organize and retrieve files within a cloud-based framework, ensuring that all necessary information is readily accessible when needed. This comprehensive approach not only enhances productivity but also significantly improves client service. -
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Venture360
Venture360
Our comprehensive software solutions, combined with our back office accounting and tax expertise, position our firm at the forefront of the industry. By consolidating your investment processes into a single platform, we streamline everything from deal flow management to the finalization of investments, including invoicing, e-signatures, and performance analysis. This integration ensures that the same system used for managing investments also handles all investor reporting and fund management, resulting in a unified experience tailored to all your requirements. There’s truly nothing like leveraging Venture360 to enhance your capital raising efforts, so you can embed our investor registration link on your website and begin your fundraising journey today. Our plug-and-play solution offers a white-labeled platform that facilitates connections with investors, tracks commitments, manages cap tables, and provides seamless reporting through an investor login portal, empowering you to focus on growth. With all these features readily available, it's time to take action and get started on transforming your investment management process. -
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Altruist
Altruist
$1 per monthEnhance your financial advisory services with greater ease and efficiency. Run your business more intelligently, set up accounts swiftly, and ensure a delightful experience for your clients. You can initiate accounts online in just a matter of minutes. Effortlessly create tailored model portfolios and engage in commission-free trading of fractional shares. Automate your rebalancing tasks, allowing you to set it and forget it. Finally, enjoy integrated investing and reporting features at a budget-friendly price. The first 100 client accounts are complimentary, with a subsequent charge of only $1 per account each month. Altruist Corp (“Altruist”) offers a powerful software platform designed to help financial advisors achieve superior results. Investment management and advisory services are supplied by Altruist LLC, an SEC-registered investment advisor, while brokerage-related services are provided by Altruist Financial LLC, a member of FINRA/SIPC. Enjoy trading without commissions, meaning you can execute trades for free within brokerage accounts using either web or mobile platforms, although other fees may still apply. This innovative approach is designed to streamline your financial operations and elevate the performance of your advisory practice. -
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Quickly establish your operations with integrated best practice features, which include dynamic calculations. Minimize the need for extensive customization, as essential financial statements like cash flow, balance sheet, and income statement are calculated automatically, along with rollovers and calls to action. Streamline the process of meeting global reporting standards, such as International Financial Reporting Standards (IFRS) and Generally Accepted Accounting Principles (GAAP), by utilizing a ready-made consolidation model. Enhance the accuracy and efficiency of your closing process by reclassifying, adjusting, and eliminating data across any hierarchy, thanks to built-in consolidation capabilities. Effortlessly manage the complexities of legal and management rollups that may have distinct calculation and reporting needs. Take control of the closing process by automatically monitoring critical metrics throughout the organization. You have the option to utilize pre-existing calculations or effortlessly develop bespoke solutions tailored to your business's unique requirements, ensuring that all aspects of your financial reporting are handled efficiently and effectively. This ensures that you can focus on strategic decision-making while maintaining compliance with necessary standards.
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AdvisorWare
SS&C Technologies
Tailored for hedge funds, private equity, and funds of funds, AdvisorWare® offers a comprehensive platform that combines portfolio management, accounting, and partnership accounting. This system accommodates alternative investment funds facing intricate global investment, trading, and management challenges, alongside demanding financial, tax, partnership, and allocation reporting needs. Enhance your operational efficiency through a user-friendly interface that enables the management of various instruments and corporate actions while ensuring data integrity. Mitigate operational risks with its proactive, automated exception handling, workflow management, and reconciliation features. Additionally, it meets tax and reporting obligations across multiple jurisdictions and provides fully automated tax allocation for partners, ensuring compliance and ease of use. With its robust capabilities, AdvisorWare® stands out as a vital tool for fund managers seeking to streamline their operations and improve reporting accuracy. -
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Global WealthES
Fi-Tek
Global Wealth Enterprise Solution, known as Global WealthES™ (previously referred to as TrustPortal), offers a robust and all-encompassing Wealth Management platform designed for both large and medium-sized financial institutions, allowing them to operate with maximum efficiency. This solution provides a complete suite of features that are intricately linked to facilitate seamless processing, resulting in significant scalability and operational effectiveness. The application encompasses a wide array of functionalities, including Financial Planning, Account Enrollment, Investment Management, Account Administration, Integrated Portfolio Accounting, Securities Processing, Automated Compliance Reviews, Reporting and Statements, a Client Access Portal, Performance Measurement, and advanced data analytics for enhanced business intelligence. Additionally, it supports trading through an integrated FIX engine, connecting to over 400 brokers for immediate trade execution and confirmations. With comprehensive reporting capabilities, both internal and client-facing reports and statements, as well as integrated data mining tools, the platform also ensures mobile accessibility across all devices, making it a versatile solution for modern wealth management needs. Overall, Global WealthES™ stands out as a vital asset for financial institutions looking to elevate their wealth management services. -
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Envision Investor Management Suite
Envision Financial Systems
The Envision Investor Management Suite is constructed on the foundational record-keeping system that underlies nearly all our operations, offering a versatile and modular toolkit designed to tackle a wide range of operational challenges faced by pooled investment vehicles. It simplifies both costs and complexity through its open architecture and software-as-a-service deployment. This suite integrates various systems within an easily customizable modular framework. It empowers employees to access account information seamlessly from one interface, leading to enhanced back-office efficiency with intuitive user experiences. Additionally, it delivers real-time data integration, eliminating delays associated with batch processing, and thus ensuring that decision-makers have immediate access to the most current information available. Overall, this suite is designed to streamline operations and elevate the overall management of investments. -
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SYNDi Investment Ledger
SYNDi
Investment management software must effectively manage a wide array of investments, such as stocks, mutual funds, and more. In this discussion, we will outline the key features to consider when selecting the investment management software that best suits your needs. SYNDi Investment Ledger provides a robust solution for managing the buying and selling of various financial instruments, including stocks, bonds, short-term notes, and fixed deposits within an investment portfolio. When tracking investment history in a general ledger, it is common to create a G/L account for each security, often extending to partner-level sub-accounts for detailed tracking, which can lead to an overwhelming chart of accounts. SYNDi Investment Ledger addresses this challenge by recording individual transactions while only requiring a straightforward journal entry to the General Ledger. This innovative approach allows users to establish just one or two asset accounts for their investments while keeping all historical data organized within the sub-ledger. Ultimately, this streamlining leads to enhanced efficiency and better management of your investment records. -
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SymPro Investment Management
SymPro Treasury Management Solutions
An investment management platform that generates immediate, actionable insights through the computation of earnings, accrued interest, capital gains and losses, average daily balance, amortizations, weighted yields, duration, total returns, and GASB reporting. It enhances transparency by delivering precise and prompt reports on investment management, performance, and GASB compliance. By automating accounting journal entries that mirror investment transaction activity, it minimizes the chance of duplicated data entry. The system also boosts accuracy by allowing for direct importation of positions or transactions from your custodial bank or broker. Users can benefit from the system's flexibility, as it allows for the creation of an unlimited number of portfolios, each with various funds, divisions, or advisers tailored to specific needs. Additionally, the platform generates general ledger journal entries to accurately represent investment transaction activity for designated date ranges, ensuring comprehensive financial oversight. Ultimately, this solution streamlines the investment management process, making it more efficient and user-friendly. -
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Theorem
Theorem Technologies
$500.00/month Theorem is an all-in-one solution for post-trade processing and data management that enables users to access aggregated reporting, manage trade workflows, and perform matching and affirmation, all through a user-friendly online portal that eliminates the need for local installations or technician assistance. With Theorem, you can seamlessly integrate data from brokers, exchanges, trading platforms, or your own internal systems, tailoring the management process to meet your unique requirements. The platform's lightweight setup allows you to either utilize the full suite of features or selectively choose the tools you need at any given moment. Immediately upon the execution of a trade, Theorem guarantees precise post-trade processing by efficiently allocating trades and conducting matching with executing and clearing counterparties. Additionally, Theorem synchronizes data, analytics, and insights from various brokers, accounts, and portfolios, empowering you with actionable intelligence while equipping stakeholders with sophisticated analytics and clear, comprehensible risk reports. By streamlining these processes, Theorem enhances decision-making capabilities across organizations. -
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Backstop
Backstop Solutions Group
Backstop offers a top-tier productivity software suite tailored specifically for investment managers and institutional asset owners. Designed with the needs of foundations, investment consultants, family offices, funds of funds, endowments, pensions, hedge funds, and private equity firms in mind, Backstop delivers exceptional, cloud-based productivity solutions that empower asset managers and allocators to enhance their capital raising and retention efforts, conduct thorough research and portfolio management, and efficiently meet the needs of their key stakeholders. Among its core offerings are Backstop CRM, Backstop IR, Backstop Research, Backstop Portfolio, Backstop Portal, Backstop Accounting - Investor, Backstop Accounting - Portfolio, and Backstop Mobile, ensuring comprehensive support for various operational demands. By integrating these tools into their workflows, users can expect to streamline processes and improve overall performance in the competitive investment landscape. -
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Diligent Equity
Diligent
Diligent Equity will be the only platform that investors need to manage their portfolios and cap tables. Manage your investments, portfolios, and LPs better. Say goodbye to inaccurate data and enjoy a clear view of your fund's performance. Diligent Equity's real-time tracking of investment performance is your single source for truth in your entire portfolio, regardless of the cap table software used by your companies. Track performance of funds on one dashboard, including investment multiples and IRRs. You can access real-time data directly from your latest positions, captables, waterfalls and valuations. Track and collect company KPIs for your portfolio companies, from investment to exit. Diligent Equity offers managed services to update and error-check cap tables and KPIs for portfolio companies. -
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Stockle
Stockle
$5.67 per monthStockle is an advanced investment management platform aimed at streamlining the management, tracking, and optimization of various investments. Its features include the ability to aggregate multiple accounts, allowing users to see all their accounts at once or tailor their views to their preferences. The platform supports the monitoring of a wide range of assets, including stocks, ETFs, mutual funds, indices, and cryptocurrencies from around the world. With thorough analytics, Stockle provides insights like dividend yield, yield on cost, and the performance rates of both open and closed positions. Users can compare their portfolios against any asset, take advantage of an upgraded command menu for smoother navigation, and review detailed transaction logs that include historical data. The user-friendly interface and adaptable data structure of Stockle accommodate diverse investment strategies, enabling users to organize their portfolios based on different criteria such as strategy, account type, investment goals, or other concepts. Furthermore, the platform continually evolves to meet the changing needs of investors, ensuring that they have the most effective tools at their disposal. -
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Qubit X
Qubit X
At 73Strings, we leverage over 25 years of expertise in private capital along with advanced real-time analytics and robust machine learning models. This powerful combination leads to a collaborative platform that enhances the speed, intelligence, and simplicity of valuation reporting. Financial data from investee companies is seamlessly uploaded through data warehouses, supplemented by information sourced from a variety of channels including market news, social media, earnings call transcripts, and more than 12 data partners like S&P Capital IQ, Gnews, Apollo, Currency Layer, Spyfu, as well as internal and alternative data sets gathered for customer analysis. The AI-driven valuation process enables users to choose from more than five valuation methods that align best with their investment strategies. Additionally, a suite of workflow tools can be utilized to compute the net asset value (NAV) by applying proportional weights to each chosen method. Users can also create tailored reports and dashboards featuring multiple widgets that automatically populate with graphic representations, tables, and insightful commentary or analysis, ultimately providing a comprehensive view of their investments. This innovative approach ensures that stakeholders have access to the most relevant and timely information for informed decision-making. -
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iLEVEL
S&P Global
Enhance your oversight and understanding of investment data with iLEVEL, a revolutionary software solution designed to provide greater transparency and insights into alternative investment portfolios. Serving as the backbone of our private market offerings, iLEVEL enables general partners and limited partners to efficiently gather data, monitor portfolios, perform analytics, conduct valuations, and generate reports. By facilitating streamlined data flow, iLEVEL establishes a unified source of truth that empowers users to make well-informed decisions while fostering open communication with investors, auditors, boards, and other key stakeholders. Revolutionize your data collection process with automated services that standardize and simplify data acquisition and management. Our advanced technology, combined with a seasoned data team, supports both GPs and LPs in ensuring the accuracy and comprehensiveness of information, ultimately leading to more effective investment strategies. With iLEVEL, you gain not only control but also clarity in navigating the complexities of your investment landscape. -
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FIN Global Portfolio System
Financial Information Network
Throughout its history, Financial Information Network has partnered with investment firms of various scales. By engaging with the investment sector, the organization has developed an extensive array of features aimed at equipping clients with essential tools for enhancing their operations. In addition, the Global Portfolio System offers a tailored and adaptable solution designed to cater to the diverse requirements of all investment managers. Financial Information Network takes pride in cultivating a productive environment that aligns with your firm's unique needs rather than forcing your firm to adapt to a one-size-fits-all approach. The Global Portfolio System stands out as a comprehensive technological solution for investment firms, offering real-time automated trading, seamless processing, GIPS-compliant performance metrics, and much more. Its customizable tools leverage the vast potential of the Internet for efficient client reporting, ensuring that investment managers have flexible options to meet their specific demands while utilizing advanced technology. This commitment to innovation and client satisfaction positions Financial Information Network as a leader in providing essential resources for investment management. -
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Costars
corfinancial
Costars offers a comprehensive investment administration platform tailored for third-party administrators, fund supermarkets, wealth management firms, building societies, and retail banks. This multi-asset solution enhances client servicing and boosts sales channel engagement while facilitating the introduction of new products, such as fully automated ISA management. Furthermore, Costars includes essential management features to address the tax and regulatory needs of investors. It effectively organizes various instrument types into portfolios, which can be either wrapped or unwrapped, and makes them accessible through different distribution channels. The platform is capable of managing millions of portfolios and positions seamlessly, ensuring high throughput without facing scalability challenges. With both automated and manual trade entries, it provides current and historical portfolio valuations, automated checks for customer credit and ID verification, and maintains a thorough data and documentation audit trail. Additionally, Costars delivers comprehensive reporting and compliance functions, as well as deal validation, authorization, and pricing, ensuring that all aspects of investment administration are efficiently managed. This all-in-one solution empowers users to streamline their processes and improve overall operational effectiveness. -
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Vyzer
Vyzer
FreeAll your investment management needs can be met by one platform. Online investment portfolio tracking solution for Limited Partnership investors. Analyzing your financial documents. Integration of investment accounts. Reports can be generated and exported. Automated transaction tracking. Vyzer integrates a high level of security in order to protect your sensitive data. Vyzer provides investors with a secure platform which delivers transparency and clarity across all of their holdings on a single holistic dashboard. AI-driven, unbiased and honest insights will maximize your return on traditional investments as well as real estate syndications, private equity, cryptocurrency, and other traditional investments. Vyzer, the only digital wealth platform, combines public and privately held investment performance tracking with financial planning tools, projections, and very soon benchmarking into one powerful solution. This makes it easy to track the money.