08.12.2019

Exciting Updates to Opus Fund Services’ NAV Inputs Client Dashboard

Opus Fund Services is excited to share that effective Friday, August 9, 2019, major improvements to our NAV Inputs Client Dashboard were rolled out. Changes include improved transparency into input status, providing further information on issues that may ultimately cause service delays. Proactively keeping clients aware of third-party issues not within our control, prevents unexpected surprises during the delivery process. For complex funds with numerous inputs, improved search functionality has also been made available.  

Not only will this increased functionality lead to greater ease of use for all Opus clients, but will also improve communication and understanding surrounding NAV deliverables. Tutorials will be available on in the client portal. 

About Opus Fund Services
Established in 2006, Opus Fund Services is an award-winning independent and privately-owned full-service global fund administrator providing automated, integrated middle and back office administration services to hedge funds and asset management firms. Opus has offices in Bermuda, New York, Chicago (Naperville), San Francisco (Brentwood), Manila, Halifax and Dublin. Opus Fund Services (Bermuda) Ltd. is licensed by the Bermuda Monetary Authority under the Investment Funds Act 2006. Opus Fund Services (IRE-Admin) Limited is regulated by the Central Bank of Ireland.