Multi-source reconciliation, automated.
Match positions, cash, and NAV across every custodian, prime broker, fund administrator, and on-chain wallet. HedgeGuard’s reconciliation engine flags breaks in real time, routes them through an SLA-driven workflow, and logs every resolution with full audit evidence — across TradFi and crypto, in one consolidated book.
Position. Cash. NAV.
Three independent reconciliation streams running continuously throughout the day — matching the internal book against custodian feeds, fund-admin records, and external valuations.
Position reconciliation
Match holdings between the internal book and every external source — custodians, prime brokers, crypto custody, and on-chain wallets. Quantity, security, account, and corporate-action adjustments tracked line by line.
Cash reconciliation
Counterparty cash-account reconciliation, fees and interest accrual checks, subscription and redemption matching, margin-call validation, and receivables/payables reconciliation against statements.
NAV reconciliation
Shadow NAV calculated independently and matched against the fund administrator’s official NAV, at both fund and share-class level. Variance flagged before publication, with full attribution.
Tripartite by design.
Three independent record-keepers, one reconciliation engine. Every transaction is matched against multiple sources of truth — eliminating the single-source-of-failure risk that plagues spreadsheet workflows.
- Custodian feeds for positions, cash, and holdings
- Fund administrator NAV file for official valuations
- HedgeGuard shadow book with real-time trade ingest
Detect. Investigate. Resolve. Audit.
When the recon engine flags a break, it routes through a structured workflow — auto-assigned to the right analyst, tracked against an SLA, and logged with timestamped evidence at every stage. No spreadsheet free-for-all.
Two ways to operate.
Your team uses the platform
HedgeGuardu2019s recon module configured for your custodians, brokers, and fund admins. Your ops team drives the matching, investigates breaks, and signs off NAV. Audit trail and workflow built in.
HedgeGuardu2019s middle-office team runs it for you
A dedicated team of seasoned middle officers operates the reconciliation workflow on your behalf u2014 matching, investigating, and resolving breaks under your brand.
Reconciliation & break management.
See your breaks dashboard live.
Book a working session. We’ll walk through your current recon process, your sources, and what the breaks dashboard looks like with your data.