SS&C Advent
SS&C Advent provides a comprehensive suite of investment management software designed to help asset managers, wealth managers, and family offices streamline their entire front-to-back office operations and reporting.
FundCount
FundCount is a unified investment and accounting software solution that combines portfolio management, general ledger, and reporting capabilities into a single platform for family offices and investment firms.
Quick Comparison
| Feature | SS&C Advent | FundCount |
|---|---|---|
| Website | advent.com | fundcount.com |
| Pricing Model | Custom | Custom |
| Starting Price | Custom Pricing | Custom Pricing |
| FREE Trial | ✘ No free trial | ✘ No free trial |
| Free Plan | ✘ No free plan | ✘ No free plan |
| Product Demo | ✓ Request demo here | ✓ Request demo here |
| Deployment | ||
| Integrations | ||
| Target Users | ||
| Target Industries | ||
| Customer Count | 0 | 0 |
| Founded Year | 1983 | 1999 |
| Headquarters | San Francisco, USA | Boston, USA |
Overview
SS&C Advent
SS&C Advent offers a robust ecosystem of tools to help you manage the entire investment lifecycle. Whether you are an asset manager, a wealth advisor, or running a family office, you can use these solutions to handle portfolio accounting, trade execution, and client reporting from a single integrated environment. The platform focuses on eliminating operational bottlenecks by automating data flows between your front and back office teams.
You can choose from specialized products like Geneva for complex fund accounting or APX for integrated portfolio management and reporting. By centralizing your data, you reduce the risk of manual errors and gain a clearer view of your firm's performance. The software is designed to scale with your business, supporting everything from local boutique firms to global institutional investment managers.
FundCount
FundCount provides you with a powerful, integrated accounting and investment analysis platform designed to eliminate the need for disconnected spreadsheets. You can manage complex multi-asset portfolios while simultaneously maintaining a full general ledger, ensuring your financial data and investment performance are always in sync. This unified approach reduces manual data entry and minimizes the risk of errors across your entire back-office operation.
You can automate your most demanding reporting tasks with customizable templates that cater to both internal stakeholders and external clients. Whether you are tracking private equity, hedge funds, or diverse family office assets, the software gives you real-time visibility into your net asset value (NAV) and partnership allocations. It simplifies your complex financial workflows so you can focus on high-level investment strategy rather than manual reconciliation.
Overview
SS&C Advent Features
- Portfolio Accounting Track your positions, transactions, and cost basis accurately with automated accounting engines that handle complex global assets.
- Automated Reporting Generate professional, branded performance reports for your clients automatically to save hours of manual preparation every month.
- Trade Order Management Execute trades and manage compliance workflows in real-time to ensure your portfolio stays aligned with your investment mandates.
- Data Aggregation Consolidate data from multiple custodians and brokers into one view so you always have a single source of truth.
- Revenue Management Calculate complex management fees and automate your billing processes to ensure you get paid accurately and on time.
- Mobile Access Access your portfolio data and firm performance metrics from your tablet or smartphone while you are meeting with clients.
FundCount Features
- Unified Ledger. Integrate your investment and general ledger accounting in one place to ensure your financial statements always match your portfolio data.
- Partnership Accounting. Automate complex allocations and track capital accounts for multiple partners with precision, regardless of your fee structures or ownership layers.
- Multi-Asset Support. Manage everything from traditional equities and bonds to complex private equity, real estate, and derivative investments within a single interface.
- Automated Reporting. Generate professional, drill-down reports instantly using a library of templates or create custom layouts to meet your specific client needs.
- NAV Calculation. Calculate your net asset value in real-time with automated data feeds, reducing the time you spend on manual month-end closings.
- Data Integration. Connect directly to custodians and market data providers to import transactions and pricing automatically without manual file uploads.
Pricing Comparison
SS&C Advent Pricing
FundCount Pricing
Pros & Cons
SS&C Advent
Pros
- Extremely reliable portfolio accounting for complex global instruments
- Highly customizable reporting engine meets specific client demands
- Strong integration between front and back office modules
- Excellent scalability for firms managing high volumes of data
Cons
- Significant learning curve for new or non-technical staff
- Implementation process can be lengthy and resource-intensive
- Premium pricing makes it expensive for very small firms
FundCount
Pros
- Unified system eliminates reconciliation between accounting and portfolio tools
- Exceptional flexibility for handling complex multi-tiered entity structures
- Highly customizable reporting engine meets diverse client requirements
- Strong customer support with deep domain expertise in accounting
- Handles a wide variety of alternative asset classes effectively
Cons
- Significant learning curve due to the depth of features
- Initial implementation and setup requires a major time investment
- User interface feels dated compared to modern web-based apps