Scheduled Maintenance

We will be performing essential upgrades to our website starting Friday, 5th December at 08:15 AM and ending Monday, 8th December at 09:00 AM. During this period, website functions will be disrupted. We apologise for the inconvenience.
Affected services: Reports, Website registration, Website contact us form.
If you need to contact us during this time, please call 0121 236 2380 during office hours or email admin@margetts.com.
Thank you for your understanding.

This information is provided for information only and must not be considered as investment advice. You should seek professional investment advice before making any investment decision.

Fund Accounting Services

Our technical knowledge, robust governance framework, and in-house capabilities provide you with a trusted and comprehensive solution for all your Fund Accounting needs.

We understand the critical role that accurate and reliable Fund Accounting plays in the management and administration of a fund, recognising the significance of balancing speed and efficiency with accounting precision. Our Fund Accounting services include:

  • Net Asset Value (NAV) calculations
  • Portfolio reconciliation and valuation
  • Corporate actions and income processing
  • Preparation of financial statements
  • Fund financial reporting

Why choose MGTS?

Our Fund Accounting services support financial integrity and transparency. Our expertise, wealth of knowledge and commitment to advanced reporting technology means you can confidently entrust your Fund Accounting needs to our dedicated team. 

For more information on launching or transferring a fund, get in touch.