FundCount

Unified accounting and reporting for complex investment structures.

Technology Firm Accounting Client Portals Consolidated Reporting Data Integration Fund Accounting General Ledger Partnership Accounting Performance Reporting Portfolio Analytics Portfolio Management Reporting Automation 📍 United States of America Est. 1999 50-100 employees Hybrid
Visit Website Request Info Last reviewed: April 2026

Overview

Family offices running complex multi-entity structures often find that portfolio reporting and accounting live in separate systems, requiring manual reconciliation that introduces errors and delays. FundCount addresses this by treating the general ledger as the single source of record for both investment and partnership activity, so NAV figures, capital statements, and performance reports all draw from the same underlying data without waiting for period-end closes.

The platform is built for organizations managing heterogeneous asset books. It handles equities, derivatives, private equity, real estate, debt, and digital assets within one portfolio view, applies performance attribution across asset types, and processes waterfall calculations and series allocations without rebuilding models in spreadsheets. An AI Document Intelligence module extracts capital call notices, distribution statements, K-1s, and co-investment financials from PDFs and Excel files into structured data, reducing the manual keying burden that dominates alternatives-heavy offices.

Key capabilities relevant to family office operations include:

  • Multi-book, multi-currency general ledger supporting IFRS and GAAP simultaneously
  • Partnership accounting with NAV, allocations, and waterfall calculations tied directly to investor capital records
  • Automated custodian and broker data feeds with reconciliation workflows
  • Over 70 built-in reports plus Power BI integration and custom Excel extracts
  • Investor portal with MFA, encrypted delivery, and approval workflows for statement distribution
  • Private cloud and on-premises deployment options for offices requiring data sovereignty

Pricing starts at $34,099 per year for single family office and asset management tiers, with a separate entry-level tier from $24,000 for smaller offices under $30M AUM. Buyers should factor in digital transformation and hosting fees on top of base pricing. The platform carries a structured implementation process with a dedicated project team, which reduces go-live risk but requires meaningful internal time investment during onboarding.

"FundCount employs the 'continuous accounting' paradigm, where all transactions go through a real-time general ledger. You don't need to wait for the period to end to strike NAV or generate reports."
FundCount

Product & Capabilities

Main Tasks
Portfolio and investment accounting across multiple asset classes Partnership accounting including NAV calculation, waterfall processing, and capital statements General ledger management with real-time posting and multi-currency support Automated extraction of alternative investment documents into structured accounting data Client and investor reporting with secure portal delivery Custodian data aggregation and reconciliation
Assets Supported
Equities Bonds Derivatives Private Equity Real Estate Debt Digital Assets Alternatives Hedge Funds
Top Features
Real-time general ledger with continuous accounting paradigm Partnership accounting with waterfall and series allocation calculations AI Document Intelligence for PDF and Excel statement extraction Over 70 built-in reports plus Power BI and custom Excel extract options Investor portal with MFA and encrypted document delivery Multi-currency, multi-book accounting supporting IFRS and GAAP Automated custodian and broker data feeds Performance attribution and return calculation across asset classes Accounts payable module with payment approval workflows On-premises and private cloud deployment options
Technology
Hybrid SOC (AICPA SOC for Service Organizations)
Platform
White-label Available
Integrations
Microsoft Power BI Tableau Custodians Brokers Banks Alternative investment managers

Pricing

Average Annual Cost
$24,000 - $34,899/year (starting prices; digital transformation and hosting fees additional)
Cost Structure
flat fee

Pricing estimates are indicative only. Contact FundCount directly for a tailored quote based on your specific requirements.

Company

OwnershipPrivately held
Offices
Boston London Singapore Sydney Zurich
Top Markets
United States United Kingdom Singapore Australia Switzerland
Key People
BN
Bernard Ng
Senior Business Analyst
CP
Clement Pak
Implementation Project Manager
MS
Max Stepanov
Implementations Solution Architect
ML
Matthew Li
Senior Business Analyst
PK
Phillip King
Senior Business Analyst
CM
Cory Maynard
Implementation Project Manager

Support & Onboarding

Onboarding Structured phased implementation methodology with dedicated project team; firm claims over 20 years of implementation experience
Support Options
Dedicated implementation team, senior business analysts, email ([email protected]), phone (multiple offices), Signal secure chat, FundCount Academy self-learning

Contact

Get in Touch