Continuous visibility on governance, data quality, and risk across private markets portfolios.
Built by a banking risk professional with 15+ years of experience overseeing private markets portfolios within regulated banking environments.
Continuation vehicles are becoming a larger share of exits, holding periods are extending, and valuation governance is under increasing scrutiny. Risk and Compliance teams are expected to evidence decisions with auditable trails โ while most processes remain quarterly, manual, and fragmented.
Portfolio data scattered across eFront, spreadsheets, GP reports, and ad-hoc reconciliations.
Decisions increasingly challenged by auditors, regulators, and investment committees.
Issues often surface only at quarterly reviews โ when mitigation options are already limited.
An intelligence layer that sits on top of your existing systems โ without replacing them.
Continuous validation of completeness, consistency, and overrides across private assets data.
Structured evidence trails aligned with regulatory and committee expectations.
Early indicators on concentration, liquidity, valuation dispersion, and extensions.
Pilot program available for a limited number of institutions.
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