Reporting acts as a showcase for the portfolios, it creates performance reports for each fund over variable periods, comparing them to its index and to other funds.
Our Front-to-Back suite has a cross-functional reporting module that meets your needs in terms of regulatory reporting, risks, investors, clients and general reporting.
All this can be complemented by advanced functionalities in terms of data management, composite benchmark management, portfolio consolidation and transparency, calculations of market risk indicators and performance analysis.
Manar ™ offers a Reporting database that allows you to reprocess portfolio data and establish their benchmarks. This base can be exploited by a BI solution or simply by Excel according to the wishes of the customers. It gives the business teams the opportunity to be autonomous in the customization of reports for Customers, Marketing, Internal and regulatory.