Fund Accounting & NAV Calculation

Accurate & timely net asset value calculations with multi-currency support.

Precision Without Compromise

In today’s regulated investment environment, accuracy is not optional-it is foundational. Our Fund Accounting & Independent NAV services are designed to deliver institutional-grade precision, governance integrity, and operational transparency across complex fund structures.

We operate as a disciplined extension of your investment operations, combining rigorous accounting standards with advanced technology frameworks to ensure every valuation is independently verified, fully reconciled, and audit-ready at all times.

From multi-asset portfolios to cross-border structures, our operating model ensures accuracy, regulatory alignment, and investor confidence-without operational friction.

Our Approach

We integrate accounting expertise with technology-enabled validation systems to create a controlled, repeatable, and transparent NAV process. Every calculation undergoes structured oversight, layered reconciliations, and exception-based review protocols to ensure valuation integrity.

Investor Services & Reporting

Segregation of duties & independent oversight

Investor Services & Reporting

Automated reconciliation and break management

Investor Services & Reporting

Multi-jurisdiction regulatory alignment

Investor Services & Reporting

Real-time data transparency

Core Expertise

1. Multi-Asset, Multi-Currency Fund Accounting

Manage diverse portfolios with seamless accounting across multiple asset classes and currencies. Ensure accurate valuations, automated reporting, and real-time financial insights.

2. Independent NAV Oversight

Structured, independently governed NAV calculation with validation checkpoints, pricing verification, and exception escalation protocols to ensure transparency and investor protection.

3. Advanced Reconciliation Architecture

Technology-enabled reconciliations across custodians, brokers, counterparties, and internal records—designed to identify discrepancies early and resolve them efficiently.

4. Financial Statement & Audit Coordination

Preparation of periodic financial statements aligned with applicable GAAP/IFRS standards, supported by seamless coordination with auditors to ensure timely and efficient completion cycles.

Why It Matters?

Preserves valuation integrity Enhances investor confidence Strengthens regulatory defensibility Reduces operational risk Supports scalable growth

Our institutional governance framework ensures your fund operations remain resilient, compliant, and performance-focused across jurisdictions.

Strengthen Your Accounting Infrastructure

Partner with a disciplined, technology-enabled fund accounting team built for precision, scale, and regulatory confidence.

Let's connect

Get in Touch

Let’s Build Stronger Fund Operations—Together.

contact info


Phone

+91 22 4922 0555

Email Address

fund.administrator@ctlfs.in

Corporate Office

Unit No-901, 9th Floor, Tower-B, Peninsula Business Park, Senapati Bapat Marg, Lower Parel (W), Mumbai-400013

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