Better visibility emerges on Yardi
Investment Management
Streamline investment management and accounting
Automate the investment management lifecycle to reduce costs, increase your team’s efficiency and get the information you need to make better, faster, more informed decisions.
Automate the Lifecycle
Automate investment accounting, performance measurement and reporting and enable managers to make decisions that provide the most benefit to your clients and stakeholders.
Simultaneously, greatly reduce period-end close and reporting cycle times and reduce risk through compliance monitoring and enhanced analytics.
Mitigate Risk
Identify exposure to invested and committed assets by region, sector, investment type and fund strategy via configurable financial, portfolio, performance and revenue analytics.
Obtain continual variance analysis and asset- or portfolio-level sensitivity from actual budget and forecast data.
Enhance Investor Reporting
Utilise real-time investment accounting and operational data to provide unrivaled investor services. Deliver highly accurate investor reporting utilising a single source of data to enable the timely delivery of detailed, reliable information to your clients.
Easily customised investor reports include capital balance and capital roll forward reports, unfunded equity reports by investor and investment and monthly investor summaries and statements.
Support Different Structures
Accommodate different deal structures, no matter how simple or complex, and eliminate spreadsheets. Once the structure is defined, the system automates calculations and accounting accordingly per your business terms.
The system enables you to:
- Define multi-tiered waterfall business rules with multiple hurdles and promotes
- Quickly calculate accruals and distributions
- Determine hypothetical liquidation values for accurate unrealised gain/loss on investments
- Compute multiple allocation splits within LP and GP groupings
- Define and calculate preferred returns and management fees
Centralise Information
Gain real-time access to your operating data in your Voyager database to automate all investment calculations, transactions and reporting.
It can also be used as the central data warehouse to consolidate information giving complete transparency from investment to lease in one integrated environment.