Fund Administrator

Fund Administrator

As Fund Administrator you do most of the fund processing in Class. To do this you manage investments, corporate actions, set up transaction rules, match transaction, prepare workpapers for audit and prepare for lodgment.

Welcome

The welcome activity is the first part of this pathway where you will learn how Class works, the process for managing client funds and the most used business menus for your role. But first, take a look at the features of Class Super in this end-to-end demo.

Processing

Discover what Class can do for you. Including how it processed transactions, matching entries, creates cash transactions and business events, and matches them together.

Set up Basic Fund

This course is made of 13 small modules that will walk you through the key steps and processes of managing your investments in Class.

Set Up Intermediate Fund

This course will cover how you can sell securities through manual disposal and suspending zero balance accounts.

Match Transactions

A collection of articles that matching transactions and generating income

Corporate Actions / Tax Statements

This module will show you how to process corporate actions in Class. You’ll learn how and when to process automated corporate actions at the business level, and automated and manual corporate actions at the fund level.

Processing Property

This covers how to use Class to manage property assets, including how to buy and sell property, generate depreciation worksheets, and request valuations.

Custom Holding Accounts

This module will cover when and how to create a custom holding account, and how to track GST.

Pension Drawdowns

This covers how to use Class to manage member related transactions, process pensions, and segregate for pension exemption purposes.

Processing Year End

This activity covers the checks related to lodging a tax return for a fund as well as the process for finalising tax at the year end.