Accounting
AQS supports investment portfolio accounting to suit client needs:
- As the point of contact and reference for in-house accounting
- As a liaison between the client and one of many outsourcing solutions
- As a turn-key solution for quarterly and annual financial statement filiing among other reporting requirements
Accounting support includes:
- Settlements and exceptions
- Custodial reconciliations
- Corporate actions
- Cash on hand net of commitments
- Trailing reinvestment rates
- RBC, AVR, IMR, and OTTI treatment
- SVO classifications
- Management Discussion and Analysis
- Predictive modeling and profit objective support
- Daily interaction with third party market data providers
- Interpretation, guidance, and reaction to regulatory changes
Highly seasoned, our professional staff stays abreast of changes in the regulatory environment by maintaining professional certifications and ongoing continuing education