STP Fund Administration Software

from STP Investment Services

Investment operations software for fund accounting and administration. Services include NAV calculation, investor reporting, compliance programs, and fund administration for closed-end funds.
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Platforms for storing, organizing, retrieving, and managing electronic documents related to fund operations, including statements, confirmations, legal documentation, and other records.

STP Fund Administration Software

Solutions calculating NAV (Net Asset Value) and managing other accounting functions for investment funds and managed accounts.

STP Fund Administration Software

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