Fund Of Funds Accounting: Basic Setup
Wednesday, June 14, 2023, 02:30pm - 03:30pm
Contact Chris Bartlett

Shadow Accounting For Fund of Funds

Step-by-step instruction to set up shadow accounting for fund of funds with FoF Manager.

Accounting Workflow For Fund of Funds & Hedge Fund of Funds

Risk Shell Fund of Funds (FoF) Manager delivers a comprehensive accounting framework designed specifically for hedge funds and alternative investments. By providing advanced shadow accounting functions, portfolio liquidity and exposure analysis, cash-flow analysis and multi-currency cash management, FoF Manager ensures a solid basement for a demanding institutional investor.

Setting Up FoF Accounting - Overview

  • Setting up portfolios and accounts
  • Working with multiple classes and multi-currencies
  • Liquidity options of underlying assets and master portfolios
  • NAV and prices of underlying assets. Overriding vendor data
  • Adding subscribers. Subscribers' settings and options

Fund Of Funds Transaction Examples

  • Introduction to transactions: transaction types and options 
  • Subscription and redemption examples
  • Cross-account transactions, fees and transfers
  • Corporate events transactions
  • FX and forwards. Currency hedging

Potential Audience

Fund administrators, hedge FoF and multi-asset portfolio managers, CIOs, advanced family offices, advisers, research houses, consultants, pension plans, endowments, family offices.

Location online
Live control of Risk Shell applications via GoToMeeting and/or Webex.
EST time zone - afternoon session
Registrations are now closed



Demo Request


  Mail is not sent.   Your email has been sent.
We use cookies to improve our website. By continuing to use this website, you are giving consent to cookies being used. More details…