Avenue Partners / Services

Full-lifecycle fund administration.

From launch to wind-down, across every fund type and major jurisdiction — we run the operations so you can run the portfolio.

/ 01

Fund Accounting & NAV

Full-cycle accounting and timely, accurate NAV under your chosen reporting standard.

  • NAV calculation & valuation
  • Capital account maintenance
  • Management & performance fees
  • Waterfall & carried interest
  • Multi-currency support
/ 02

Investor Services

A seamless, professional experience for your LPs from onboarding onward.

  • Subscriptions & redemptions
  • AML / KYC & due diligence
  • Capital calls & distributions
  • Investor notices & statements
  • Secure investor portal
/ 03

Financial Reporting

Audit-ready statements and bespoke reporting tailored to your investor base.

  • Annual & interim financials
  • Audit coordination
  • Bespoke LP reporting packs
  • Performance & exposure reporting
/ 04

Regulatory & Compliance

Support across the filings and obligations that come with cross-border funds.

  • FATCA & CRS reporting
  • Regulatory filing support
  • Entity & registry management
  • Governance support
/ 05

Treasury & Banking

Cash oversight and payment processing with proper controls and segregation.

  • Cash monitoring & reconciliation
  • Payment processing
  • Bank account administration
  • Liquidity reporting
/ 06

Fund Launch & Setup

Operational structuring and onboarding to get your fund live without friction.

  • Operating model design
  • System & data setup
  • Service provider coordination
  • First-close readiness
Coverage

Every fund type. Every major domicile.

We administer open-ended, closed-ended and hybrid structures across the world's principal fund jurisdictions.

Private EquityVenture CapitalHedge Funds Real EstatePrivate CreditInfrastructure Fund of FundsHybrid / EvergreenSPVs & Co-investmentsFamily Offices
Cayman IslandsLuxembourgIrelandBVI Delaware / USUKSingaporeHong Kong DIFC / ADGM
How we work

A clear path to live.

Discovery & scoping

We map your structure, investors, reporting needs and timelines — and assign your senior-led team.

Onboarding & setup

Data migration, system configuration, controls and coordination with auditors, banks and counsel.

Ongoing administration

Accounting, NAV, investor services and reporting delivered on a predictable, faster cycle.

Review & evolve

Regular service reviews and proactive support as your fund scales or its strategy shifts.

Let's scope your mandate.

Share your structure and reporting needs — we'll come back with a tailored proposal.

Request a proposal