We aim at disrupting the way current financial entities perform identification checks. Our solution is to facilitate and support investors’ subscription process into investment funds using our platform. The solution is a centralized and secured platform-as-a-service dedicated to financial entities that wish to increase their productivity and save substantial operational costs through automation.
- Efficient capital flow through automation
- Seamless client on-boarding through clear and concise guidance
- Cost saving for financial entities in relation to on-boarding
- Avoidance of double task though the benefits of data centralisation and mutualisation
Solution / technology
Platform as a Service (PaaS) that allows entities to reduce costs through automation and data mutualisation when on-boarding new customers.
- Focusing specifically on and optimized for the needs of the fund industry only
- In-house expertise in fund industry and regulatory requirements
15,600 billion Net Assets under Management in Europe (representing 60,000 funds), which includes 4,200 billion Net Assets under Management in Luxembourg (representing 14,000 funds) as of March 2018.