BNY Mellon is dedicated to helping clients navigate the trends and regulations that shape our industry. Our set of compliance services are designed to help you navigate the evolving industry changes by providing services and capabilities to help you mitigate risk and facilitate your compliance with key regulations.
With over 30 years of experience and the nation’s leader in compliance and registration products and services for financial services firms, NRS can help guide your compliance strategy, minimize risk and lower costs.
Through the Investment Manager Services division, SEI provides a comprehensive platform of fund administration and operational outsourcing services to support investment managers and asset owners globally across a wide range of registered and unregistered fund structures, investment strategies and jurisdictions.
UMB Fund Services, Inc. (UMBFS) offers a broad suite of services for both registered and unregistered products. As part of providing the unparalleled customer experience, we are dedicated to providing uncompromised compliance services and reporting to clients.
At U.S. Bank Global Fund Services, we provide comprehensive fund services to investment managers, banks and broker-dealer firms sponsoring mutual funds, exchange-traded funds and alternative investments.