Alternatives to TNR Solution

Compare TNR Solution alternatives for your business or organization using the curated list below. SourceForge ranks the best alternatives to TNR Solution in 2024. Compare features, ratings, user reviews, pricing, and more from TNR Solution competitors and alternatives in order to make an informed decision for your business.

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    FundCount

    FundCount

    FundCount Americas

    FundCount is a partnership accounting and analytical software solution that tracks, analyzes and reports the value of complex investments. Suitable for fund administrators, family offices, hedge funds, and private equity firms, FundCount offers an integrated multicurrency general ledger and automated workflow tools to bring a higher level of efficency to daily processes. It also comes with flexible, effortlesss reporting tools to enable firms to quickly produce and deliver consolidated reports tailored to each client’s unique requirements. FundCount has been voted as the Best Fund Accounting and Reporting Systems Firm by Hedgeweek.
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    Allvue

    Allvue

    Allvue Systems

    Allvue Systems is a leading provider of investment management solutions for fund managers, investors, and administrators in the alternative investments industry. We offer innovative, configurable investment software that eliminates the barriers between systems, information, and people, optimizing decision making and streamlining processes to meet investor needs across private debt, private equity, and other alternative asset classes.
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    Agora

    Agora

    Agora

    Agora is a designated software solution for real estate investment firms to build trust with investors, accelerate every aspect of their business and grow faster with optimal operational efficiency. We help over 60 real estate firms increase deal commitments and automate back-office operations, allowing them to focus on what really matters - finding new deals and raising more capital. Our investment management platform includes a robust CRM and a market-leading investor portal, which creates transparency with your investors, helps raise capital for new offerings, and makes reporting easy and on time, all from the same place. Today, we empower real estate investment firms growth with over $25B in assets managed within our designated platform, in a collaboration between Proptech and Fintech elements. Automate your portfolio management, generate reports, distribute waterfalls, and streamline performance data.
    Starting Price: $599 per month
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    NonProfitPlus

    NonProfitPlus

    NonProfitPlus

    Welcome to NonProfitPlus-- the cloud ERP accounting software designed specifically for nonprofits. We engineered our product natively, from the ground up, not repurposing other modules to imitate fund accounting or the grant system. NonProfitPlus has been designed for users to accomplish there tasks easily and efficiently including user’s ability to manage, track, process and report on funds, grants and programs. This ERP Software is the most scalable on the market with a pricing structure designed for non-profits. Get everyone involved within one system with better controls, definable workflows, restricting users to the functionality and accounts they work with, over spending protection, budgeting, reporting, automation and more.
    Starting Price: $950.00/month
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    First Rate Vantage

    First Rate Vantage

    First Rate Vantage

    First Rate, a leading provider of financial technology and services to the wealth management industry, recently acquired Vantage Software to expand their market and global impact by leveraging both firms’ capabilities. First Rate Vantage offers private equity, venture capital, and real estate advisors one single source of truth in managing a fund’s life-cycle and reporting on private investments including deal flow management, partnership accounting, and investor reporting. Click the appropriate box below to learn how Vantage can help you! In 2021, seeing the opportunity to leverage our years of experience and excellent client relationships, First Rate, Inc. acquired Vantage. For more than 30 years, First Rate has provided innovative solutions and services to help financial firms create absolute transparency, enhance efficiency, and empower advisors to create more meaningful and intelligent investment strategies for their clients.
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    Fundwave

    Fundwave

    Fundwave

    Give your venture capital or private equity fund the tools to account, administer and report to your investors. Organize, Allocate and Report with Fundwave's Fund Administration Software. Plans that work for micro VCs, impact funds, large funds, SPV structures and more. JCurve for investment teams is a flexible workspace that works as good for angel investors and micro-VC's as it does for large venture capital and private equity fund houses. Custom branding, interactive dashboards & self service options for your investors. Fundwave's investor portal helps you seamlessly share capital notices and reports with your limitedpartners. Right from your first close, to when you have investors that span across funds, there's a plan to suit. Dealflow is built to help you manage your deal pipeline and stay laser-focused on the right investment opportunity.
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    Deep Pool

    Deep Pool

    Deep Pool Financial Solutions

    Automate your mission-critical business processes. The complete investor servicing solution for fund administrators and investment managers. Administrators and managers of offshore and onshore hedge funds, partnerships, private equity vehicles, real estate and retail funds around the world choose ManTra to help them manage and grow their business. NTAS: Advanced investor servicing for fund administrators and managers. Enhanced operational efficiency, client service, transparency and security at your fingertips. PENTAS: End-to-end investor lifecycle automation for traditional and hybrid private equity funds. Automate and streamline all aspects of the limited partner investment cycle to provide unrivaled processing efficiency, control, transparency and investor service. KURE: Automate and streamline your AML compliance and FATCA/CRS reporting with a comprehensive regulatory solution.
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    Deloitte Cascade Suite
    Whether you are a fund administrator looking for greater precision and controls across funds from a scalable private equity software or an asset manager in search of a cost-effective reporting and reconciliation solution for deal-by-deal waterfall calculations, Cascade Suite has the accuracy, efficiency, and a range of deployment models to meet your needs. Increased transparency and controls for investors and regulators. Automated complex allocations and calculations. Reduced operational expenses. These are just a few of the benefits offered by Cascade Suite. This powerful and flexible proprietary private equity software provides a scalable and efficient solution for your alternative investment infrastructure. Supports private equity, real estate, venture capital, hedge funds, mutual funds, and managed accounts.
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    Backstop

    Backstop

    Backstop Solutions Group

    Backstop provides the industry's leading productivity software suite for investment managers and institutional asset owners. Tailor-made for foundations, investment consultants, family offices, funds of funds, endowments, pensions, hedge funds, and private equity firms, Backstop brings the best-in-class, cloud-based productivity tools to help asset managers and allocators better raise and retain capital, perform research and portfolio management, and serve their key stakeholders efficiently and seamlessly. Core products include Backstop CRM, Backstop IR, Backstop Research, Backstop Portfolio, Backstop Portal, Backstop Accounting - Investor, Backstop Accounting - Portfolio, and Backstop Mobile.
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    Fund-Studio

    Fund-Studio

    Fund-Studio

    For hedge fund managers, CTAs, asset managers and family offices, FundStudio’s real-time operations and reporting platform and outsourced managed services provides complete knowledge of fund or managed account conditions -- and the tools to manage them. Capture orders and trades via realtime FIX, uploads, programmatic API or on-screen manual data entry. Allocate orders to accounts, strategies and more. Apply compliance rules such as position limits or mandated asset-class restrictions, or complex programmatic rules such as leverage bias. Run real-time intra-day P&L. Define multiple views of aggregate or sliced-and-diced data in real-time "pivot tables". Manage all cash movements including trade settlements, margin, coupons and principal. Run cash projections and more. Meet investor DDQ requirements by shadowing your fund administrator to produce NAV at the master-fund level as well as associated feeder funds or investor subscriptions.
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    Eze Investor Accounting
    Stop relying on spreadsheets and start managing all aspects of back-office fund accounting with ease through Eze Investor Accounting. Eze's specialized fund accounting software, Eze Investor Accounting (formerly Penny) is a reliable hedge fund accounting software designed and built to address the needs of hedge fund back offices, fund administrators, private equity shops, and other wealth managers. From calculating complex management and performance fee structutures, managing tax processing, to developing investor statements and monthly performance reports, Eze Investor Accounting truly makes it easy.
    Starting Price: $1667.00/month/user
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    Relevant EquityWorks

    Relevant EquityWorks

    Relevant Equity Systems

    Fund Accounting Software. Investor Management Software. Track investors, contacts, third-party representatives, and interactions. Fund Administration Software. Model fund entities, closings, commitments, capital accounts, and transactions. Portfolio Management Software. Manage every aspect of your holdings, including portfolio companies or properties, securities, revaluations and shareholder tables. Give investors exactly what they crave: detailed notifications and transparent quarterly reports from a secure portal. Issue detailed ILPA call and distribution letters, along with industry-standard quarterly reports. Give your LPs secure, 24/7 access to fund documents from their phones, tablets or everyday browsers.
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    PackHedge™

    PackHedge™

    FinLab Solutions SA

    PackHedge™ is the world’s most advanced investment industry solution for Alternative/Hedge funds, Private Equity funds, Traditional/Mutual funds and many other investment instruments (UCITS, ETF, Equities, Real Estate, Forwards, Currencies, etc.) 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 series of state of the art modular software tools in a single fully integrated platform, providing an unmatched data management model for multi-source, multi-currency, multi-frequency and multi-lingual qualitative and quantitative data.
    Starting Price: $5,000 per year
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    InvestorFlow

    InvestorFlow

    InvestorFlow

    Smart experiences, workflows and content designed to scale distribution and to simplify the investor services functions of global asset managers, private equity firms, real estate groups, hedge funds, credit, and funds of funds. Manage your contacts, investors, prospects, commitments and deals in a CRM specifically designed for your world. Branded, institutionally wrapped communications for private placements. The perfect portal to get you started and at the perfect price. Ideal for firms that do not have a portal, need something that they can quickly get off the ground and makes them look world class in front of investors. Includes all the workflows and tools to report and communicate. It takes the Essentials Portal to the next level by adding CRM and performance dashboards. Handy for firms who want to get off Excel or other inefficient tools for contact and investor relationship management and become more professional in how they manage their firm and report.
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    Juniper Square

    Juniper Square

    Juniper Square

    Raise more and close faster with integrated data rooms, lead management, online subscriptions, and a CRM designed specifically for private fundraising. Say goodbye to spreadsheets for good with powerful yet easy-to-use tools to calculate returns, manage waterfalls, and automate investor workflows. Provide your clients best-in-class reporting and on-demand access to their investments via the industry’s leading investor portal. Streamline your fundraising efforts and close faster with online subscriptions and customizable data rooms. Effortlessly produce and securely deliver personalized notices, statements, and industry standard reports. Easily manage partnership accounting, automate distribution calculations and payments tracking status in one central dashboard.
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    Tangicloud Fundamentals

    Tangicloud Fundamentals

    Tangicloud Technologies, Inc.

    With Tangicloud’s Fundamentals, the path to the Microsoft cloud just got easier for nonprofits and governments. Tangicloud is a leading Industry Solution Vendor for Microsoft Dynamics 365 Business Central, with over 20 years experience in providing enhancements that ensures organizations can have great functionality as well as the latest Microsoft technologies. Fundamentals offers comprehensive functionality to pro-actively manage fund balancing, labor and cost allocations, approvals, budget control, industry-compliant reporting and more. So if you want a software you can depend on anywhere, anytime, and off almost any device, look to Fundamentals, powered by Microsoft Dynamics 365 Business Central. Tangicloud works with Microsoft Partners and Value Added Resellers around the world to make sure that wherever you are, you receive the service you deserve in your quest to make our world a better place. Find out more by contacting us today.
    Starting Price: $2,000 per user, per year
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    Entrilia

    Entrilia

    Entrilia

    Entrilia is a collaborative data creation platform for PE/VC fund managers. Converting transactional events into real-time business intelligence. Our fund accounting module streamlines event driven inputs while insights allows for automated reporting on fund financials, investment, investor and so much more! Tailored for the PE/VC industry, with automated ILPA reporting, with campaign module for automating the creation and distribution of standard reports. Fully integrable and extensible with modern, best in class APIs and standardized integrations.
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    FastFund Online Accounting
    Nonprofit, fund accounting software designed for the unique fiscal challenges of nonprofits. The only SaaS solution that seamlessly integrates fund accounting, fundraising (CRM) and payroll in as single system. Generate FASB compliant reports, prepare for grant reports, audits and annual IRS 990. Provides proper stewardship of donor funds and transparency in financial reporting. Track all functional expenses, grants and program activity. Accounting modules include Accounts Payable, Accounts Receivable, Direct and Indirect Cost Allocations, Purchase Orders. Payroll gives the ability to allocate employee salaries and payroll taxes to programs based on hours worked or percentages. Fund Raising tracks all donor activity, send donation receipts and year end donor statements. Track fund raising activities to measure the effectiveness of all fund raising campaigns. Provides management with the tools needed to monitor all programs for sustanability of your mission.
    Starting Price: $42.00/month
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    Seamless

    Seamless

    Formidium

    “Seamless” is purpose built for streamlining fund accounting processes. Compatible with any asset class, fund structure, and multiple currencies. The cloud-based interface makes it easy for user to extract accounting, portfolio and investor level reports. With its granular data capturing capabilities, user can generate financial statements (with footnotes) and data for filling tax returns/K1’s.
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    MSCI Real Estate Enterprise Analytics
    MSCI Real Estate Enterprise Analytics provides global market and portfolio analytics that fit your view of the real estate investment world, allowing you to see and evaluate the total performance of your entire real estate portfolio, and how you’re managing it. Available through the MSCI Real Estate Analytics Portal, Enterprise Analytics delivers whatever level of analysis you need from portfolio fund summary reporting to granular asset-level data. Using the portfolio and query builder tools you also have the ability to isolate and analyze the performance of specific sectors, segments, or assets, run analysis on custom portfolios, and evaluate custom time horizons. Enterprise Analytics also provides a common language for the C-Suite, research, risk, and investor relations teams across your organization. From strategy through capital raising, portfolio construction, and risk and performance reporting, it supports you to determine future allocation.
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    Backshop

    Backshop

    CMBS.com

    Providing a single application that combines workflow and the ability to manage and model both property and loan cash flows. Managing the entire deal, including pipeline, workflow, tasks, approvals, documents, and contacts, from any connected device. Valuing commercial, multifamily, and hotel properties using direct capitalization and discounted cash flow methods. Modeling debt structures that include additional fundings, floating rates, leverage, modifications and extensions. Enabling the easy calculating and reporting of critical statistics like Loan to Value, Debt Service Coverage Ratio and Debt Yield. Preparing complete and comprehensive deal reports in both PDF and Industry Standard XML for all deal counterparties.
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    LemonEdge

    LemonEdge

    LemonEdge

    LemonEdge enables businesses to develop or customise solutions 10x faster than traditional approaches. Delivering on today's complex requirements for efficient fund management. Our private capital product provides asset managers and administrators with the core infrastructure for fund, portfolio, and LP-level accounting. Our Private Capital solution has a modern core infrastructure, full multi-currency partnership accounting, visual, system-aware fund structures & integrated waterfall technology. Integrate your external excel processes for a single end to end accounting process through our low-code platform approach. Reduce manual interventions, take control of your customisations, increase operational efficiency and with greater cost transparency. We’re the first financial services development platform for complex back and middle-office technologies.
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    Atominvest Software
    Atominvest provides next generation technology solutions to Alternatives investment managers. From sourcing deals to raising funds, from managing your investor relationships to monitoring your portfolio, Atominvest’s integrated, modern tech solutions can be tailored to the way you run your business and will give you the edge you need to thrive in an ultra-competitive market. Our cutting-edge tech systems enabling Alternatives fund managers to efficiently manage both their investments and investor base, across a single software solution. The software provides functionality and workflows for fund managers to supercharge portfolio management and deal sourcing, while streamlining their investor journeys across fundraising, onboarding and client reporting.
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    Investor Deal Room

    Investor Deal Room

    Investor Deal Room

    Increase your back-office efficiency and decrease investor questions so you can focus on scaling your business. 6 tools, templates, and processes used by the most successful syndicators and private fund managers to stay organized and scale their business. Our proprietary Investment Workflow tool allows us to create a smooth investment workflow that makes the process seamless for you and your investors. Investors are reluctant to invest with sponsors they don’t trust. Project instant credibility while also allowing your investors to self-serve. Stop wasting time responding to investor update requests. If you want to scale your business, you have to put systems in place that don’t require you to manually respond to every investor update request. Let investors update their contact and investment information on their own! Get started raising capital and managing your investors more effectively.
    Starting Price: $500 per month
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    Fundamental Portal

    Fundamental Portal

    Fundamental Portal

    Fundamental Portal is your ultimate solution for transforming the investment management experience for real estate GPs, owner/operators, fund managers, and more. Our cutting-edge platform offers a streamlined approach to capital raising, providing users with professional, secure, and simple interfaces in order to facilitate efficient investor interactions. Fundamental Portal ensures a seamless experience for both investors and capital raisers: 🚀 Facilitates quick soft commitments 📈 Enables funds to be raised in minutes 🔄 Streamlines distribution workflows 📄 Allows real-time document sharing But that's not all. As an add-on, Fundamental Admin complements Fundamental Portal with comprehensive back-office support. Say goodbye to administrative burdens as Fundamental Admin was created to allow fund managers to focus on capital raising and growth.
    Starting Price: $1500/yr
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    ARGUS Taliance

    ARGUS Taliance

    Altus Group

    ARGUS Taliance is a robust real estate fund and alternative investment management software that enables real estate companies to manage the performance of a real estate fund and real estate investment trusts (REITs). With ARGUS Taliance, you can model complex investment structures, run scenario testing to assess the impact of market or ownership changes, calculate distribution waterfalls and create detailed reporting to stakeholders and investors. With the complexity of global real estate investments and different funding sources, creating a multi-tiered investment structure with unique calculations and reporting outputs can be challenging. With ARGUS Taliance, you can model an entire portfolio of real estate funds through an interactive interface and quickly view your investment structure over time. You can also drill down into each investment entity and even adjust models to configure waterfall distributions and distribution per unit calculations that allow you to forecast.
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    FA Solutions

    FA Solutions

    FA Solutions

    Efficiency, reliability, and flexibility - this is what customers appreciate most about FA Solutions. The company was founded in 1999, and since then we have successfully expanded our offices in 4 countries and a worldwide client base of more than 70 customers. This includes highly regulated markets in Asia, Europe, Africa, North America, and the Middle East. We're a leading provider of software solutions to Asset Managers, Fund Managers, Private Banks, and Family Offices worldwide. We are more than an IT-service provider. We are committed to understanding and keeping pace with the investment and financial services industry. We combine our knowledge with high-level technical skills and an eagerness to innovate and develop new software. We make solutions to support your company's goals. Our solutions cover the areas of Portfolio Management, Risk Management, Web Reporting to Clients, and Sales & Regulatory tools.
    Starting Price: Inquire to learn more
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    Prospero

    Prospero

    FINARTIS

    Prospero by FINARTIS (formerly S.A.G.E.) is an integrated suite of solutions specifically designed for the financial services industry, specifically family offices and/or independent asset management and includes wealth management, fund administration, and asset management. The fully comprehensive solution covers all transactional, processing, financial, and reporting needs of the financial sector, from the front-office to the middle and back-office areas. Prospero 365’s solution for family investment offices and Independent Asset Managers has been designed with the aim of managing the portfolios of high net worth individuals and dealing with all the issues surrounding this. A mixed emphasis has been placed on both managing the portfolio and the client relationship. Many of the back office functions have been automated for user simplicity – no more need for IT or specific financial expertises in your company hierarchy.
    Starting Price: $1760/month/user
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    MRI Portfolio Management
    Optimize portfolio performance with effective solutions for managing real estate assets. Full lifecycle asset management to stay ahead of the competition and build investor confidence. Manage your real estate investments and create a more informed portfolio strategy with MRI Portfolio Management. A full lifecycle asset management solution for real estate investment managers, fund advisors, and institutional investors, MRI Portfolio Management consolidates disparate investment data and documents to support comprehensive risk management and efficient reporting to stakeholders. Take control over your real estate property assets to further your strategic decision-making ability and maximize your portfolio performance. Manage risk and exposure across your entire portfolio, or drill down by investment or any attribute. Gain a comprehensive view of your entire portfolio with key metrics and variances, such as NOI, DCR, cash flow, tenant exposure, valuations, and more.
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    Yardi Investment Suite
    Yardi Investment Suite provides a fully connected solution that improves communications with current and prospective investors. Manage new investment opportunities including the subscription process and track activities, tasks and correspondence to build and grow relationships. Centralize and manage contacts, track current and prospective investor activities and improve collaboration by providing access to information to internal stakeholders. View and approve key metrics, reports and documents prior to publishing to the investor portal. Reduce costs and increase operational efficiencies by automating your entire investment accounting, performance measurement and investor reporting cycle with Yardi Investment Accounting. Combined with the comprehensive operational accounting and management features of Yardi Voyager, and the front office investor relations capabilities of Yardi Investment Manager, Yardi Investment Accounting provides full transparency from investor to asset.
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    ModelTree

    ModelTree

    EXQUANCE

    Analyze new acquisitions and current portfolios with fully transparent cash flow models and keep track on actual performance over time. Track the acquisition pipeline with cash flow models and try simulating new acquisitions into your current portfolio. Analyze capital allocations, asset management decisions, debt funding and set exit portfolios on your route to maximize portfolio returns while ensuring overall risks are at acceptable levels. Monitor assets from acquisition until exit, understand which assets and portfolios are reaching their financial targets and report to investors over a web reporting portal. Track potential acquisition pipeline by valuing and modeling asset cash flows with quick-and-dirty or more detailed cash flow models. With ModelTree’s collaboration possibilities, several users can contribute to pipeline asset data and share insight of the potential new assets.
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    Paxton Charities Accounting
    There are two versions of the Paxton Charities Accounting software package: Standard and PRO, both of these are available for running online or on a PC. The Standard version includes comprehensive facilities for multi fund accounting, donation bookings, Gift Aid claims, transfers, purchase ledger, budgets and Charity Commission SORP compliant reporting. Both accruals and receipts and payments accounting methods are supported. Reports can be produced for any fund, combination of funds or all funds consolidated. The PRO version provides the complete accounting facility. It includes all facilities of the Standard version plus billings, sales ledger, project accounting and foreign currency processing. The PRO package supports the accruals accounting method only. In addition to funds reporting, the PRO version includes financial and budget reporting on projects within a fund, or even across multiple funds.
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    CXi-Registry

    CXi-Registry

    CXi Software

    A cloud-based SaaS subscription model provides a low-risk, cost-effective tool for fund managers and fund administrators to meet their registry and regulatory compliance needs, and enable enhanced investor engagement. The CXi-Registry SaaS solution provides full end to end processing for funds management registry operations, user-friendly dashboards and reporting, and all regulatory compliance reporting requirements. The system employs latest technology, providing a controlled and secure environment for all unit registry data. CXi provide professional services around the CXi-Registry SaaS solution. Professional services include registry operations and fund administration consulting, project management, software implementation consulting and technical services. CXi-Registry customer support provides an online ‘Service Desk’ system allowing users to easily ask questions, log issues and provide supporting documentation.
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    eFront

    eFront

    eFront, a part of BlackRock

    eFront’s Solution Suite of end-to-end software solutions provides a one-stop platform for alternative investors looking to fully manage every aspect of their investments from due diligence and fundraising to reporting across all alternative asset classes. With dedicated support teams and innovative R&D teams, clients can rely on eFront to elevate their alternative investments. As the leading provider of software solutions for the alternative investment sector, eFront offers a robust product suite thoroughly covering all alternative investment asset classes, investor types, and needs. Explore our solution finder below in order to discover the perfect alternative investment tool for you. As capital markets evolve and allocations in private markets increase, insurers not only face operational challenges by relying on multiple systems, spreadsheets and manual processes but their need for unifying whole portfolios across public and private assets has never been more pressing.
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    MyFundAccounting.Online

    MyFundAccounting.Online

    Data Developments

    MyFundAccounting.Online is a double entry fund accounting package, designed to manage the accounts for churches and charities as required by the Charity Commission. It has a selection of pre-designed account structures for various different denominations and organizations throughout the UK, based on both Receipts and Payments and Pre-payments and Accruals systems. MyFundAccounting.Online easily handles funds, budgets, cost centers, standing orders, debtors and creditors, journal entry transactions and bank reconciliation. It has a large variety of reports including an in-depth and customizable transaction listings report, Balance sheet report, SOFA report, Statement of Asset and Liabilities report, budget reports, cost centre reports and much more. Create unlimited funds and nominal accounts, including income and expenditure codes, current assets, fixed assets and liabilities. Robust audit system maintained.
    Starting Price: $249.98 per license
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    Denali Fund

    Denali Fund

    Cougar Mountain Software

    Keep track of everything that comes into your system and stay transparent with your accounts. Denali Fund is designed as a bespoke solution for non-profit organizations that are trying to stay on top of their fund accounting, such as federal grants, private grants and corporate sponsorships. With fluid and easy-to-use interfaces, the Denali suite of accounting solutions is tempting to use and simple to navigate. Have all your funds tracked and accounted for at all times, with no gaps, ensuring absolute reliability. Achieve complete reliability and transparency through comprehensive GAAP and FASB compliance. Keep track of all encumberances in your non-profit, so that none of your funds go unaccounted for.
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    Fundy

    Fundy

    EXQUANCE

    When you need to manage property fund’s investors and transactions efficiently in a secure environment, Fundy is your place to go. Fundy is a platform where you calculate, track and report about property fund’s daily operations, like capital calls from investors, distribution payments, net asset value and the fund’s investment portfolio. Fundy calculates capital calls, distributions and NAVs for open-end or closed-end funds so you are free of any Excel calculation formula errors. Tracking how fund’s real estate or indirect property fund investments are performing, is easy in Fundy. Monitoring market values, other KPI’s and maintaining business plans over time is simple. We take security seriously with Fundy and at Exquance. Fundy is built with deep audit trail logging, distribution payment confirmation procedure, various user access rights and permission, SSO login and GDPR features.
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    Carta

    Carta

    Carta

    Equity. Simplified. Carta helps companies and investors manage their cap tables, valuations, investments, and equity plans. Start with your cap table on Carta, then issue electronic securities, get 409A valuations, and run liquidity events as you grow—your cap table will stay updated automatically. With all equity transactions and information in Carta, your cap table stays up to date with less effort. We help you stay compliant when issuing equity and getting 409A valuations. Employees and investors can accept electronic securities, exercise options, and track vesting schedules. Carta helps over 800,000 shareholders manage more than $575 billion in equity. Whether you just need a cap table and a 409A, or are looking to run secondary transactions, leverage financial reporting and tax tools, or stay better connected to investors, Carta can help.
    Starting Price: $2,800 per year
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    Cash Flow Analyzer

    Cash Flow Analyzer

    Real Estate Analysis Software

    Our real estate investment software helps you analyze for better investment decisions. Real estate analysis software for real estate investors, agents and brokers to determine cash flow, investment return, and print over 32 colorful presentational-quality reports. Easily enter a property’s financial information and our real estate investment software automatically calculates cash flow and rates-of-return. Quickly see up to 20 years of cash flow projection. Then, use our built-in tool to “solve backwards” for the optimal offer price. Afterwards, create reports for banks and limited/private-money partners. Create and print reports in PDF format for emailing and posting to websites. The reports are used by real estate agents, real estate brokers, investors, financial planners, partners and lenders to present commercial, residential, multi-family & apartment investments. Updated for 2020 tax laws, our software provides the MOST comprehensive tax analysis available anywhere.
    Starting Price: $99.95 one-time payment
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    CYMA Not-For-Profit Edition
    Not-For-Profit organizations need an accounting software package designed for the specific nature of the nonprofit industry. Since 1980, thousands of nonprofit clients have depended on CYMA Not-For-Profit Accounting Software (NFP) for their financial needs. CYMAIV Not-For-Profit Edition represents significant value for mid-sized nonprofits. Automatic inter-fund offset entries are created based on the definitions set up in this new feature to keep funds in balance. This accommodates "due to" and "due from" tracking in the AR and AP modules. All reports include the fund or department selection criteria in the report heading.
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    ARGUS Enterprise

    ARGUS Enterprise

    Altus Group

    ARGUS Enterprise is the industry-leading commercial property valuation and asset management software that enables real estate companies to value and manage the performance of their real estate assets throughout the investment life cycle. With ARGUS Enterprise, you’ll have in-depth insights into your real estate portfolio, out-of-the-box reporting to suit all your investors’ needs, and more significant decision-making capabilities to manage asset performance and risk. With ARGUS Enterprise, you will be able to build detailed cash flow forecasts, stress test market and leasing assumptions, create comprehensive commercial property valuations using the discounted cash flow analysis and other global valuation methods.
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    AppFolio Investment Management
    AppFolio Investment Management is a cloud-based, all-in-one real estate investment management software solution. The on-demand, one-login platform provides flexible and powerful tools to streamline fund and syndication management. Provide investors with a self-service Investor Portal for easy 24/7 access, view at-a-glance dashboards, and access a robust CRM system to streamline fundraising processes and better communicate with investors. Created by the award-winning team behind AppFolio Property. The AppFolio Investor Portal gives investors easy, 24/7 access to their personal dashboard which summarizes their investment positions and asset information, along with their invested and distributed capital. Provide investors with real-time, 24/7 access to a summary of their investment positions, and their invested and distributed capital. Investors can visit the AppFolio Investor Portal to easily find reports, tax forms, and other shared documents and securely sign agreements.
    Starting Price: $600 per month
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    Stellar iPhi

    Stellar iPhi

    Stellar Technology Solutions

    Comprehensive Software as a Service (SaaS) system that provides donor, grantee, gift / grant transaction, financial and investment subaccounting functionality. Optional, secure and dynamic constituent logins providing real-time data for donors, advisors, client administrators, scholars, board / committee members and others. Empower your donors with world leading, first class donor advised fund platform and / or offer private labeled DAF solutions to other organizations. Augment operations and ease administrative staff burden with optional levels of Stellar staff services. Provides daily investment pricing / unitization, automated subaccounting statements, and consolidated client level statements to your foundation and / or diversified participant subaccounting clients. Software as a Service (SaaS), real-time enterprise solution with seamless hosting, frequent upgrades, dedicated account managers.
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    IMS

    IMS

    RealPage

    Calculating accurate distributions for your equity investors is a necessary activity for your private equity real estate firm but complex waterfalls in fragile Excel spreadsheets takes time and resources away from higher value work. Additionally, as you continue to make acquisitions and grow your business the scale of calculating distributions across each project will continue to weigh down your team. Your investor’s expectations of how they receive and interpret information about their investments is evolving. In addition to the trusted relationship you have already established, they expect always, everywhere, availability and transparency. Modern wealth management and investment accounts have sophisticated web and mobile investor portals and the expectation is now the same for commercial real estate investments. To deliver on this expectation, you need an investor dashboard that ties together your investors' information with their distributions and investment information.
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    Cash Flow Portal

    Cash Flow Portal

    Cash Flow Portal

    We've already helped many real-estate syndicators raise $100MM+ using Cash Flow Portal. We make it easy for GPs to raise money, streamline operations, and reach investors to win more deals than ever before. The main challenge for early real-estate syndicators is creating a system to raise capital. Our platform helps syndicators present new deals, share documents, administer property information, and manage to fundraise. Build your investor network and raise money faster. Our platform brings together syndicators and investors and helps you build a track record by keeping open communication lines. We help you maximize value to the investors by giving them access to the comprehensive deal data and monthly cash flow via a robust real estate investor portal. Boost your track record and scale your business faster. Real estate investor portal that makes investing a breeze.
    Starting Price: $99 per month
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    Pereview

    Pereview

    Pereview Software

    Pereview helps real estate firms quickly, accurately, and consistently answer the questions stakeholders are asking about their investments. This facilitates better risk management and helps drive decision-making on your data across equity and debt from the fund to the lease. Track equity and debt transaction information at the beginning of a deal through closing. This information can be leveraged by other departments and also used to setup the asset upon closing. Pereview also automates deal pipeline reporting and other powerful analytics. Pereview connects your Excel models to the Pereview database allowing for centralized storing of your underwriting assumptions and cashflows. Once the data is centralized in Pereview, reporting on underwriting projections vs. actual performance is one click away.
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    REALTY BUNDLES

    REALTY BUNDLES

    REALTY BUNDLES

    We’re REALTY BUNDLES and we want to change the way you invest in real estate. Our team includes experts in real estate, tech, law and finance who are all dedicated to making your next investment smart and easy. By collaborating with well-established partners from around the world, we offer you the best investment opportunities available in a new, exciting and approachable format. REALTY BUNDLES is an investment platform for private real estate funds, which we call ‘property bundles’. We connect investors, big and small, with selected agencies from around the world who offer exclusive property bundles through our user-friendly platform designed to maximise your success by minimising risk and removing the hassle of the investment process altogether. When we built this platform, our goal was to eliminate three of the main barriers to real estate investment: the money barrier, the knowledge barrier and the risk barrier.
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    BuyHoldTrack

    BuyHoldTrack

    BuyHoldTrack

    Enter annual market values, loan balances, income, and expenses. Measure KPI’s such as equity, cash flow, internal rate of return and more. Invite fellow investors to view each other's portfolios. Whether you are looking for passive income or trying to attain a certain real estate net worth, BuyHoldTrack gives you the insights you need to reach your goals. Ready to put your financial goals into motion? Get started with BuyHoldTrack today. Real estate tracking has never been so easy. The app lets you measure, manage and compare your real estate investments. BuyHoldTrack was built by real estate investors for real estate investors. It helps you better understand your progress towards your financial goals. Are you trying to attain a certain real estate net worth? Do you want to reach a specific amount of passive income so you can quit your day job and stop trading time for money? BuyHoldTrack will keep you focused on attaining your goals and give you the insights you need.
    Starting Price: $49.95 per year
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    HedgeTek

    HedgeTek

    Fi-Tek

    Investor Accounting for partners and shareholders is inherently complex with its multi-class investments, liquidity fees, and reporting needs. Tracking all of these using spreadsheets can become increasingly difficult and error-prone. HedgeTek® is built to handle the most intricate investor accounting needs. It tracks investors’ investment accounts, calculates a variety of fees across multiple structures including Master Feeders, for monetized, unitized & private equity funds, and generates statements for partner & fund level performances. HedgeTek’s easy integration tool allows data download and import between systems, thereby eliminating tedious manual input and improving operational efficiencies across all aspects of back-office fund accounting. HedgeTek provides a dual book and tax allocation system that can be used by investment firms to generate their customized investor statements and tax reporting. HedgeTek was developed and continues to evolve today.
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    ICRS

    ICRS

    Metamagix

    ICRS for exchange-listed real estate companies, insurance companies, real estate funds and REITS. Central real estate platform, bundling of asset information. Risk-monitoring and AIFMD compliance. All important reports from one system, object surveys, portfolio reports, vacancy lists, etc. Structured management of property management data, accounting data, documents and media. Operative tool for vacancy management, approvals, notifications and more. Operative reporting and reporting for committees and authorities. Create compliance and transparency. We create business applications with web technologies for our customers. Most of our solutions are in the areas of databases, web applications, data warehousing, business solutions, and system integration. metamagix uses open-source frameworks and Java components to reduce costs, development times and project risks.