Our team of ~170 GIA professionals offers unmatched dedication to real estate in the fund administration industry. We serve only real estate and have a history of successfully serving all real estate asset classes in a range of simple to complex investment structures.
Our global platform gives our clients an integrated and consistent set of services and deliverables no matter where they raise or deploy capital globally. We have dedicated teams in 14 countries that provide local expertise where needed, while are also a part of our global operating platform—supporting 27 countries in total.
We offer a full range of services, including:
- Portfolio Accounting &
Financial Reporting
- Client and Investor
Reporting/Analytics
- Performance Measurement
- Company Secretarial
- Transfer Agency
- Cash Management/Disbursement
- Treasury—Debt/Hedge
Instrument Administration
- Tax Compliance
- Compliance and Regulatory Support
- Client Data Management Support
- Asset Finance
Our Services
Portfolio Accounting & Financial Reporting
Services related to accounting and financial reporting including maintenance of the general ledger, cash flow forecasts, coordination of professional engagements and preparation of annual budgets.
Treasury—Debt/Hedge Instrument Administration
Services range from supporting execution of debt financing/hedging derivatives to the reporting on compliance with debt covenants.
Client and Investor Reporting/Analytics
Design and implementation of standard reporting formats or custom reporting solutions and dissemination of investor reports and other communications to investors.
Tax Compliance
Facilitating entity’s tax processes including set-up of offshore tax entities, calculating the estimated tax payable, making tax payments and filing tax return.
Performance Measurement
Establishing, compiling and calculating performance metrics. Also includes GIPS compliance, conducting scenario analyses and submission to industry organizations.
Compliance and
Regulatory Support
Oversight of investment entities to ensure regulatory compliance, including documentation related to licensing applications and preparation of regulatory filings.
Company Secretarial
Maintenance of legal documentation including set-up and dissolution of legal entities, Board of Directors meeting minutes and resolutions, company registers, etc.
Client Data
Management Support
Oversight of investment entities to ensure regulatory compliance, including documentation related to licensing applications and preparation of regulatory filings.
Transfer Agency
Services range from calculating and processing investor capital calls and distributions, maintaining investor register and contact information and supporting compliance with KYC/AML programs.
Asset Finance
Services include supporting the acquisition of new assets and overseeing the coordination of asset-level financial reporting, treasury process, tax filings and statutory audits.
Cash Management/Disbursement
Services include set-up of bank accounts, processing cash disbursements, monitoring cash receipts and preparation of monthly bank reconciliations.