Fund Administration

Avia Trust Ltd / Our Services

Fund Administration

Avia Fund Service Limited

A registered Trust and Company Service Provider licensee (License No. TC003767) providing comprehensive fund administration solution.

We offer turn-key solutions to managers of hedge funds, private equity funds, limited partnerships, segregated portfolios, and other different structures. Not only by providing administrative support, but also by ensuring compliance fulfilment of our client’s fund.

Contact Us

Our Services

Ancillary Services

  • Collateral monitoring and management
  • Corporate secretarial services
  • Tax reporting assistance (FATCA/CRS)
  • Investor services including anti-money laundering compliance checks

Value-added Services

  • Advice on operational suitability of different fund structures
  • Capital introduction to star managers
  • Client alerts on contemporary regulatory issues (AML, FATCA, CFTC, AIFMD, etc. )
  • Recommendations and referrals of best suited legal counsel, fiduciaries, auditors, compliance consultants and IT vendors at request of clients

Portfolio Accounting and Net Asset Valuations

  • Performance reporting to investors
  • Fees calculations and settlements
  • Accounting for capital transactions
  • Calculating NAV and producing NAV per share
  • Shadow accounting / security pricing and valuation
  • Assisting audit process

Trade Support

  • Independent trade and cash reconciliations
  • Processing and trade support for a diverse range of security types
  • Corporate action management
  • Security master maintenance
  • Three-way confirmation & discrepancies resolutions with manager/PBs/brokers/counterparties

Onboarding & Client Support

  • Assistance and advice on fund structure and setup
  • Fund launch and onboarding support
  • Review of fund documentation, agreements, and procedures
  • Provision of service agreements
  • Establishment of post-launch operational flows
  • General advice on fund structuring
  • General advice on regulatory compliance
  • Bank and custodian accounts opening
  • Coordination of fund establishment with auditors, bankers, and lawyers