Assets Under Administration
since inception
Funds Administered
Years in Production
since 2004
17K+
USD24B+
USD 40B+
Complete back-office for AIF Category I & II funds. Manages LP capital calls, waterfall distributions, fund accounting, and SEBI-compliant investor reporting.
Purpose-built for the trade volumes, multi-asset coverage, and tax complexity that Category III funds deal with day to day. Handles NAV accounting, multi-class share structures, built-in Indian tax engine, and SEBI-compliant investor reporting all in one system.
Full back-office and NAV accounting for AIF Category III and hedge funds. Handles multi-strategy portfolios, daily P&L, and investor reporting.
India's only dedicated tax computation tool for Foreign Portfolio Investors. Calculates capital gains, applies DTAA treaties, and generates all statutory reports.
Unlike international platforms retrofitted for the Indian market, Confisys was built from within India's AIF ecosystem. Every feature reflects a real regulatory or operational requirement that Indian fund managers face.
Full compliance with SEBI AIF regulations across all three fund categories.
Institutional-grade LP reporting in ILPA format.
Auto-generated SEBI quarterly reports for AIFs a genuine India differentiator.
Confisys has been building back-office and mid-office software for Indian AIF fund managers since 2004. Our products handle everything from LP capital calls and waterfall distributions to SEBI quarterly reporting and FPI tax computation so your team can focus on managing the fund rather than managing the paperwork.