Funds-Axis’ NAV Validation and Oversight module is an automated control framework which streamlines the NAV validation process and provides assurances over the accuracy and integrity of fund valuation.

In addition to intra-day real time checking of the NAV, it also supports compliance/audit and depositary oversight activities and periodic NAV validation exercises, ensuring that oversight activities are properly focused.

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For more information on our NAV Oversight services, please click below: