Framework accommodates all client types, allowing them to scale their administration needs as their business expands and evolves. We are dedicated to ensure our suite of Private Asset software solutions meets both yours and your stakeholders’ expectations.
“We believe clients should be empowered to work the way they want to, not how a software provider sees fit”
Client Types
Limited Partner
Manage and monitor your direct and fund investments using our performance measurement functionality, including complex IRR calculations. With many application standard calculations and methodologies supported by our application, your business can also create your own templates.
Create dashboards and investment profiles for complex fund structures and keep up to date on your investment mandate and position compliance monitoring.
Show your investment committee your investment performance and holdings through dynamic reporting, with presentation-ready formats to assist you in meeting your regulatory and investment obligations.
We also provide a secure two-way document sharing platform through the Framework Portal, to meet your reporting deadlines for all stakeholders.
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General Partner & Asset Manager
Framework’s solution suite supports the full private asset investment cycle, beginning with deal flow and fund raising functionality.
With the application’s performance measurement tools, users can monitor investments and track portfolio performance and risks. We enable you to maintain your investor relationship through efficient processes and document sharing via the Framework Exchange.
Parameterise your fee definitions without limitation, tailored to fund and investor mandates. Users define the calculations of their portfolios’ carried interest giving them the ability to control and verify defined rules.
Users can create and generate standard and custom regulatory reporting, on demand, to comply with your jurisdiction and regulatory requirements.
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Administrator / Asset Manager
With our general ledger definition functionality, you can design the Chart of Account that meets your operational and accounting needs to the granularity your business requires.
Enhance operational efficiencies and minimise your user risk with easy to administer posting controls, with dual authorisation and audit trail features.
Configure NAV generation with the necessary validations and internal business settings, ensuring your NAV presentation meets your clients’ current and future requirements.
Manage the funds you administer with the ability to process settlement transactions efficiently, as well as automatically generating notices and client reporting.
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Venture Capital
Supporting business stages from early finance to the maturity of your investments. Our application contains proven features, such as deal flow, to adminster multiple investments at their various stages.
Users can undertake investment comparisons within investment portfolios, making their impact visible with our performance measurement features. Track and monitor your portfolios’ investments with ease, and generate all your business reporting.
Monitoring investments is made easy for your users with our solution, providing your business with an end-to-end venture capital platform.
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Wealth Manager
Create and maintain detailed client profiles with our CRM function to communicate with all your stakeholders effectively.
Use our solutions to monitor investments for your client portfolios and make investment allocation decisions while mitigating investment risks to protect their future wealth. The performance measurement features we provide are user-friendly to track, monitor and compare investment portfolio and client holdings.
Support your investor relationship by giving users the ability to share personal and investment information securely and quickly using Framework Exchange.
Remain complaint with fund and investor level reporting, with the assurance that your client investment data is secure and complete.
View the Framework Solution Suite – see how we can meet your needs