Working with Registered Funds
The following flows apply to registered funds:
initial fund/offering setup (see Flows: For All Investment Vehicles)
transfers (see Flows: For All Investment Vehicles)
tender offer redemptions
The initial investments for a registered fund have the following flow, with securities issued when the Asset Manager or Fund Admin runs a close for a batch of accepted shares. This flow assumes that:
The investing org has been assigned to the fund.
The investing org has accepted that assignment.
The Integration API refers to the initial step in subscribing as "creating an asset."
1
Inv - Create Asset (Lot)
2
AM - Reject Asset (Investment) AM - Mark Assets Batch as Accepted
3
Inv - Mark Assets Batch as Wired
4
AM/FA - Mark Assets Batch as Settled
5
AM/FA - Run Close
For managed funds, either the general partner or the fund admin can initiate the event. Both must approve.
For self-managed funds, the general partner's approval is required.
1
AM - Initiate Tender Offer Redemption
2
FA - Approve / Reject Tender Offer Redemption
3
Inv - Submit Tender Redemption Request
4
AM/FA - Close Tender Offer Redemption
5
AM/FA - Set Price
6
AM/FA - Approve/Reject Price
.
7
AM/FA - Apply Price
8
AM/FA - Complete Price
9
AM/FA - Settle Tender Offer Redemption