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Why FINBOURNE for private equity funds?

Break down asset side and capital side silos. Operate your fund with the same efficiency as your portfolio companies.

Streamline and standardise portfolio company data ingestion. 

Integrate seamlessly with fund admin and service provider data sources, resolve discrepancies with less back and forth.

Empower investor relations teams with up-to-date data and thorough track records. 

See a complete, current cashflow picture.

Manage and analyse data through dashboards, not Excel.

FINBOURNE’s solution for private equity funds

Finbourne platform:
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Partners and
integration
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Data management &
end user functionality
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Read/Write, real time
data connections
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How FINBOURNE supports the private equity workflow

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FINBOURNE solution

Data integration

Use cases

  • Break down data silos and automate data collection to accelerate decision-making.​
  • Standardise and streamline the gathering of portfolio company data.​
  • Reduce time spent on data consolidation and ensure consistency across reports.​
  • Eliminate investor query backlogs and minimise the need for ad hoc/custom report building.​
  • Reduction in effort to unify portfolio company data, 65–85% time savings.​
  • Implement workflows that enforce accountability and timeliness from fund administrators.
  • Automate key oversight processes: data ingestion/distribution, shadow NAV, reconciliation, and issue resolution.​
  • Cut down the time needed for valuations and book closings.
  • Quickly identify and resolve data mismatches between fund admin and internal records.
  • Improved speed of data sharing with stakeholders, 50–75% faster.​

Case studies

Powering private market investment