FUND OPERATIONS
Banking Access for Fund Operations
Bright Gate assesses banking requirements, facilitates introductions to suitable independent providers and coordinates account considerations around fund operations and transaction flows.
Coordinated Account Structures
Review account structures supporting subscriptions, redemptions, operational payments and other fund requirements.
Operating Account Requirements
Assess banking arrangements against operating activities and ongoing financial processes.
Subscription and Redemption Flows
Review account requirements supporting investor subscriptions, redemptions and related transaction flows.
Fund Payment Infrastructure
Evaluate payment arrangements against recurring and transaction-related fund requirements.
FINANCIAL RELATIONSHIPS
Financial Infrastructure Coordination
Bright Gate advises on banking and financial-infrastructure considerations and coordinates relevant independent relationships around the fund’s operating model.
Connected Financial Relationships
Consider banking, custody, payment, prime-brokerage and liquidity requirements within one coordinated review.
Custody Connectivity
Review custody requirements alongside banking arrangements and other relevant relationships.
Prime Brokerage Relationships
Evaluate suitable prime-brokerage relationships against the fund’s operating structure.
Liquidity Relationship Alignment
Assess independent liquidity relationships alongside wider banking and infrastructure needs.
Bright Gate does not provide banking, custody, prime-brokerage or liquidity services directly.