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What is the FundLifeCycle Monitoring all about?

Fundsquare S.A. is launching a new monitoring tool for the acquisition and management of fund raw data & reporting into meaningful and useful information for operational efficiency analysis purposes.
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The tool provides KPIs on

Fund Launch & closing
  • Statistics on number of funds in each step of the launch & closing workflow
Fund Commercialization
  • Statistics on the number of reports to Home and Host authorities for a given time range



User Guide

Access to the application

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  • In the launchpad, click on « FundLifeCycle - Monitoring »

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Should the module FundLifeCycle - Monitoring be greyed out, please contact your local e-file Administrator to add your user to this module.

With Internet Explorer, if the FundLifeCycle opens in a new window (and not in a new tab), you will not be able to benefit from all the functionalities. In order to change your parameters to open a new page in a new tab:

  1. Click the Tools button of Internet Explorer, and then click Internet Options.
  2. In the General tab, click on the Tabs button.
  3. Under When a pop-up is encountered, choose Always open pop-ups in a new tab.

General Options

In each screen, the following options are available :

  • Undo
Everytime that an action is done on a page (apply a filter, include or exclude items, …), it is possible to undo the action with that button.
  • Redo
Used to re-do an action (Only available after a “Undo” was done).
  • Revert
This button permits to undo all actions done so far on the page, and to revert to the initial view.
  • Refresh/Pause
Those buttons are not applicable for FundLifeCycle.
  • Download
PDF: Downloads one or several views depending on the options selected. The pdf generated will only illustrate the default view and may not contain all information (if a slider is necessary in the view).
Crosstab: Downloads a file openable with excel (only possible after a specific table has been selected).
Warning: the file is not created as a .xls file, your computer may not recognize it. The file contains the gross data, which may be hard to interpret. No layouting is available. The functionality is simply available in the software solution Fundsquare has chosen to deploy the FundLifeCycle.
Data: Lists the data without having to download them. It is however possible to download them in a text format.
Warning: the file is not created as a .txt file, your computer may not recognize it. The file contains the gross data, which may be hard to interpret. No layouting is available. The functionality is simply available in the software solution Fundsquare has chosen to deploy the FundLifeCycle.
Image: Downloads the current view as a .png picture.

For most of the views, a Dashboard report exists in your Dashboard module. Those reports are more suitable as download.


General Information

The “Dashboard” synthetises the information about the funds of the Management Company to which you provide services.
The screen is divided in 5 different sections:

  • Funds universe
This view represents the number of active funds/sub-funds/share classes for which you are Fund Administrator which are known by Fundsquare.
  • E-file filing
This view represents the number of regulatory reports sent to each of the National Competent Authorities during the last 12 months.
  • NAV Transmitted
This view represents the number of NAV loaded for each day in the last 3 months. By flying over with the mouse, it is possible to see the exact number for each day.
  • Documents loaded in library
This view represents the number of documents loaded onto your efile library for the funds you are servicing as Fund Administrator. It is possible to select only the document loaded by the Fund Administrator itself or all documents regardless of the document providers.
NB: The documents associated to the entities are not yet listed (eg. FATCA for an entity).
  • Management Companies
This view lists all the funds for which you are Fund Administrator and their management companies. It is possible to select one or several management companies. All the 4 other parts will be updated accordingly.

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NAV’s transmitted to Fundsquare

General Information

The “NAV’s transmitted to Fundsquare” view represents the number of NAV’s transmitted to Fundsquare for each fund every day.
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Information Types

Different kinds of information are displayed:

  • The number of NAV’s received for the fund (in green in the example below).
  • The number of excuses received for the fund (in orange in the example below), see definition below.
  • The number of missing NAV’s (in red in the example below), those are NAV not received (yet) but for which no excuses were indicated.
  • The opening of new shares (blue triangle).
  • The closing of shares (red triangle).

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It is also possible to filter on a specific management company.

Definition of an excuse

An excuse is a concept created by Fundsquare to indicate in advance that no NAV is expected for a share class for a day or for a longer period. The most common reasons why no NAV are expected are the following:

  • The market in which the main investments of the share class are done is closed for a bank holiday,
  • The share is a dormant share (i.e. the share has been fully redeemed but remains open and can be reactivated in the future),
  • The share is waiting for initial subscription,
  • The share is in process of liquidation,
  • There has been a suspension of the NAV calculation.

NAV’s transmitted to Fundsquare - Details

General Information

The “NAV’s transmitted to Fundsquare - Details” view represents the number of NAV’s received by Fundsquare for each share class every day. This is a detailed view of “NAV’s transmitted to Fundsquare”.
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Apply filters

The following filters can be applied :

  • Fund Name
Useful when dealing with a large number of funds to quickly select a subset of them.
  • CSSF Fund Code
This code is given to a fund by the CSSF upon registration of the fund at the CSSF.
  • Sub-fund Name
Usually used after the Fund Name is selected, to make a quick subfilter.
  • Frequency
Useful to distinguish the expected delivery frequency. By default, “daily” funds are selected.
  • ISIN
Useful to quickly search a specific share class.
  • NAV Date / Reception date
the NAV Date is the value date of the NAV, the reception date corresponds to the date and the timestamp on which the NAV was transmitted to Fundsquare.
  • All / Last Month
With this option it is possible to either select the NAV received during the past month (31 days-to-date) or during the past 3 months-to-date.
  • Line Type
There are three types of line:
  • Received (at least one NAV was received),
  • Excuse (an excuse was set for that day meaning that Fundsquare is not expecting any NAV for this day),
  • Missing (no NAV received yet).

Status

Six different types of entry exist :

  • Before launch date (left empty triangle)
this entry means that the NAV was received before the share class was launched (this is a data quality issue).
NB: If this entry is an excuse (orange), this is most probably an excuse indicating “Waiting for initial subscription”. If this entry is missing (red), it means that there are excuses or prices missing between the constitution date and the date when the first NAV was received.

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  • First (left filled triangle)
this entry means that it is the first NAV received for the share class (same date as the launching date of the share class).

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  • Single (square)
this entry means that one NAV was expected that day (standard situation)

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  • Multi (star)
this entry means that several NAV’s were received that day. If the NAV date is selected, it means that several NAV’s were received for the same value date. If the reception date is selected, it could also mean that the NAV of different days were received on the same day.

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  • Last (right filled triangle)
this entry means that it is the last NAV received for the share class (same date as the end date of the share class).

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  • After closing date (right empty triangle)
this entry means that the NAV was received after the share class was closed (this could most likely be a data quality issue or a case of liquidation).

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It is possible to filter on a specific entry type by clicking on the status in the legend (top right corner) and clicking on “keep only”.
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Exclude entries

It is also possible to exclude entries : specific dates, specific currencies, specific funds / sub-funds / share classes. Example : you know that for your funds, the NAV is sent the day after its value date. Therefore, all value dates of your NAV will be missing today. Therefore you want to exclude today’s NAV’s in the view.

NAV’s loaded – Hourly view (3 months)

General Information

The “NAV’s transmitted to Fundsquare – Hourly view (3 months)” view represents the number of NAV’s received by Fundsquare for each fund at each hour of the day.
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In the example above, we can see that, for the “Fund 100709”, 165 NAV’s have been loaded between 1pm and 2 pm during the last 3 months , we can also see that a small percentage has been received after 5 pm, which seems to be an exception.
In the background, behind the number of NAV’s received per hour, a cumulated view of the NAV’s received until the specific hour (from 0 am to the hour selected) is available in a lighter color.
Below that graph, a global view of all the NAV’s received for your funds is available (“Your funds”). This view gives a quick overlook of all the NAV’s loaded for your funds in the past 3 months.

Apply Filters

The following filters can be applied :

  • Management Company
This filter is especially useful for Fund Administrators working with a lot of different management companies.
  • Fund Name
Useful when dealing with a large number of funds to quickly select a subset of them.
  • Frequency
Useful to distinguish the expected delivery frequency. By default, “daily” funds are selected.

NAV’s transmited – Hourly view – Details (Max 3 months)

General Information

The “NAV’s transmitted – Hourly view – Details (3 months)” view represents the number of NAV’s transmitted to Fundsquareat each hour of the day. This is a detailed view of “NAV’s transmitted to Fundsquare – Hourly view (3 months)”.
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The interest of this view is to select a fund / a sub-fund to analyze a problem detected in the previous view.
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It is also possible to select a specific frequency (“Daily” by default), and a Reception Period (only 3 months of data is available but it is possible to select a subset of it to analyse the last month for instance).

NAV reception delay – Standard deviation

General Information

The “NAV reception delay – Standard deviation” is a statistical view. It depicts any variation in terms of delay of a specific share class between the value date of the NAV and its transmission date.
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The top view shows the regularity of each of your funds.
The bottow view compares your results (highlighted in blue) to the results of other providers.
NB:In order to compare similar funds, only daily funds have been kept and Specialized Investment Funds (SIF) have been excluded.

Detailed process

For each share classe, a standard deviation of the difference between the NAV value date and the NAV reception date is calculated. This result is aggregated by fund in the first view and by provider in the second view. In the second view, your result is highlighted in blue and set on first position of the graph. The average result of each of the other providers of the marketplace are anonymized.

Apply Filters

The first filter (Fund Name) only permits to change what is displayed on the top screen (select one or several specific funds).
The second filter (Fund Structure) modifies the content of both the top and the bottom views.

e-file filing

General Information

The “e-file filing” view lists all documents sent to the different National Competent Authorities. The detailed view of the “e-file filing” is available in the Dashboard under 3_26 : Documents sent to authorities.
The number of documents is counted either during one year by selecting “Full Preceding Period” (last complete year from January 1st to December 31st) or counted during the current year by selecting “Year-to-date” (always started at January 1st)
The documents are separated per country (if they are linked to funds) or per companies (FATCA reports made for companies) :

  • The columns indicating a country (Luxembourg) count documents that are issued by fund and display the number of documents under that fund domicile.
  • The column “RFI” (Reporting Filing Institutions) counts all documents that are not related to funds but to entities, such as FATCA reports.

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Apply Filters

The following filters can be applied:

  • Authority
This field is useful to restrict the data for one or several National Competent Authorities (for example, keep only the CSSF).
  • e-file
In e-file, different business groups are defined. Each business group is allowed to send a set of document types. This information is also the one displayed in the dashboard. This is therefore a good way to make a filter and analyze something detected in the Dashboard.
  • Document Type
The document type gives the detail of the type of document that was sent to the authority (for example it is possible to filter on the O1.1 reports).

Regulatory reports

General Information

The “Regulatory reports” view represents the percentage of different regulatory reports sent on time, late or not sent yet.
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Only the monthly O1.1/U1.1 and the yearly O4.1 are available so far. The table gives a periodic KPI (monthly for O1.1/U1.1, yearly for O4.1) for each fund and a global periodic KPI for all the funds the Fund Administrator is working for.
A global periodic Market KPI is also available to benchmark your performance against the market.

Apply Filters

The following filters can be applied :

  • Management Company
This filter is especially useful for Fund Administrators working with a lot of different management companies.
  • Sending Date
This filter determines which reception date is used to determine if a report was sent on time or late: with the “First sending date”, the date of the first report sent is considered (even if a correction on this report is sent later); with the “Last sending date”, only the date of the last version of the report is considered.
  • Report Type
This filter is used to choose to visualize the different reports (U11, Monthly S, TpT OPC, Quarterly and Annual reports).

Line Types

Three different information types exist :

  • On Time
This entry indicates that the report was sent on time (Before the 10th of the month for O1.1/U1.1 reports and before 10 days and 4 months after the reference date (end of accounting year) for O4.1 reports).
  • Late
This entry indicates that the report was received, but after the deadline indicated above.
  • Missing
This entry indicates that the report was not yet received.
  • Other Provider
This entry indicates that the report has been sent by another provider.

Data History

For the Monthly reports received in the last 12 months-to-date are taken into account.
For the Quarterly reports received in the last 2 years-to-date are taken into account.
For the Annual, reports received in the last 4 years-to-date are taken into account.

Regulatory reports - Details

General Information

The “Regulatory reports - Details” view represents, at sub-fund level, the percentage of different regulatory reports sent on time, late or not sent yet. This is a detailed view of “Regulatory reports”.
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Apply filters

The following filters can be applied :

  • Fund Name
Useful when dealing with a large number of funds to quickly select a subset of them.
  • Codif CSSF/AAC
This filter pilotes the Fund and Sub-Fund codes displayed in the table. It also pilotes the codification used for the filter “Fund Codification”.
  • Fund Codification
Depending on the filter “Codif CSSF/AAC”, this filter either contains the CSSF codification or the AAC internal codification.
  • Sending Date
This filter determines which reception date is used to determine if a report was sent on time or late: with the “First sending date”, the date of the first report sent is considered (even if a correction on this report is sent later); with the “Last sending date”, only the date of the last version of the report is considered.
  • Report Type
This filter is used to choose to visualize the different reports (U11, Monthly S, TpT OPC, Quarterly and Annual reports).

Line types

Three different information types exist :

  • On Time
This entry indicates that the report was sent on time (Before the 10th of the month for O1.1/U1.1 reports and before 10 days and 4 months after the reference date (end of accounting year) for O4.1 reports).
  • Late
This entry indicates that the report was received, but after the deadline indicated above.
  • Missing
This entry indicates that the report was not yet received.
  • Other Provider
This entry indicates that the report has been sent by another provider.

Status

Six different types of entry exist:

  • Before launch (left empty triangle)
this entry means that the report was received before the sub-fund was launched.

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  • First (left filled triangle)
this entry means that it is the first report expected/received for the sub-fund.

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  • Report (square)
this entry means that one report was expected/received for that period.

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  • Multi (star)
this entry means that several reports were received for that period. This is usually because corrections were necessary (because all the information were not available for the deadline for instance).

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  • Last (right filled triangle)
this entry means that it is the last report expected/received for the sub-fund due to the closing of the sub-fund.

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  • After closed (right empty triangle)
this entry means that the report was received after the sub-fund was closed.

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It is possible to filter on a specific entry type by clicking on the status in the legend (top right corner) and clicking on “keep only”.
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Data history

For the Monthly reports received in the last 12 months-to-date are taken into account.
For the Quarterly reports received in the last 2 years-to-date are taken into account.
For the Annual, reports received in the last 4 years-to-date are taken into account.

NCA Feedbacks

General Information

The “NCA Feedbacks (FATCA and CRS)” view shows, for all FATCA and/or CRS documents, all the feedbacks received.
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Apply filters

The following filters can be applied :

  • Document type
you will be able to select FATCA and/or CRS reporting
  • Feedbacks
This filter allows you to select one or more feedbacks.
The existing feedbacks are:
- The Documents (the reporting made)
- The Ack (the technical acknowledgement file)
- The Nack (the technical negative acknowledgement file)
- The Val (the validation file from the NCA)
- The War (the warning file from the NCA)
- The Err (the error file from the NCA)

Data history

FATCA reports will be shown starting from July 2015
CRS reports will be shown starting from May 2016

The details of each reporting made is available on the “Document Transmission” module, “Transmission Follow-up” tab.


CSSF synchronization on sub-fund level

General Information

The “CSSF synchronization on sub-fund level” view shows for each fund you are servicing using Fundsquare, the synchronization between the CSSF and Fundsquare with regards to the status of the sub-funds.
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Apply filters

The following filters can be applied :

  • Management Company
This filter is especially useful for Fund Administrators working with a lot of different management companies.
  • Fund Name
Useful when dealing with a large number of funds to quickly select a subset of them.

Entry types

Several entry types exist:

  • Active on both sides
“Normal” situation, listing all the sub-funds active both at Funsquare and at the CSSF of the funds known by Fundsquare.
  • CSSF only
“Normal” situation, which indicates that even though the fund is known by Fundsquare, some of the sub-funds are not known.
  • Fundsquare active and CSSF inactive
Point of attention, which can either indicate that the sub-fund has already been activated in Fundsquare sytem but not yet in the CSSF database, or that the sub-fund has already been closed at the CSSF and not yet in Fundsquare system.
  • CSSF active and Fundsquare inactive
“Unnormal” situation, which indicates that the activation date of the sub-fund was not indicated to Fundsquare.
  • CSSF active and Fundsquare closed
“Unnormal” situation, which indicates either that the closure of the sub-fund was not yet reported to the CSSF, or that a closing date was reported to Fundsquare by error.
  • Fundsquare only
This situation indicates the sub-fund do not exist yet/anymore in the CSSF database, but the sub-fund is already/still active in Fundsquare database.

NB: Only the entry types relevant to the view are displayed. It is possible to filter on a specific entry type by clicking on the status in the legend (on top) and clicking on “keep only”.
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CSSF synchronization on sub-fund level - Details

General Information

The “CSSF synchronization on sub-fund level - Details” view shows for each sub-fund of the funds you are servicing using Fundsquare, the synchronization between CSSF and Fundsquare with regards to the status of the sub-funds. Details about the start/close dates of the CSSF and Fundsquare are available by flying over the squares with the mouse.
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Apply filters

The following filters can be applied:

  • Management Company
This filter is especially useful for Fund Administrators working with a lot of different management companies.
  • CSSF Fund Code
This code is given to a fund by the CSSF upon registration of the fund at the CSSF.
  • Fund Name
Useful when dealing with a large number of funds to quickly select a subset of them.

CSSF synchronization on share class level

General Information

The “CSSF synchronization on share class level” view shows for fund you are servicing using Fundsquare the synchronization between CSSF and Fundsquare with regards to the status of the share classes.
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Apply filters

The following filters can be applied:

  • Management Company
This filter is especially useful for Fund Administrators working with a lot of different management companies.
  • Fund Name
Useful when dealing with a large number of funds to quickly select a subset of them.

CSSF synchronization on share class level - Details

General information

The “CSSF synchronization on sub-fund level - Details” view shows for each share class of the funds you are servicing using Fundsquare the synchronization between CSSF and Fundsquare with regards to the status of the share classes.
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Apply filters

The following filters can be applied:

  • Management Company
This filter is especially useful for Fund Administrators working with a lot of different management companies.
  • CSSF Fund Code
This code is given to a fund by the CSSF upon registration of the fund at the CSSF.
  • Fund Name
Useful when dealing with a large number of funds to quickly select a subset of them.
  • CSSF Fund Code
This code is given to a fund by the CSSF upon registration of the fund at the CSSF.
  • Sub-fund Name
Usually used after the Fund Name is selected, to make a quick subfilter.
  • Frequency
Useful to distinguish the expected delivery frequency. By default, “daily” funds are selected.
  • ISIN
Useful to quickly search a specific share class.

Registration/Distribution Map

General Information

The “Registration/Distribution Map” view shows for the selected funds, sub-funds or share classes in which countries they are registered and/or distributed. It also enables to see how many shares are registered and/or distributed in a specific country.
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Apply filters

The following filters are available:

  • Fund Name
Useful when dealing with a large number of funds to quickly select a subset of them.
  • Sub-fund Name
Usually used after the Fund Name is selected, to make a quick subfilter.
  • ISIN
Useful to quickly search a specific share class.
  • Distributed/Registered
Enable to find quickly funds registered, distributed or both, in different countries.

Training Sessions

You can subscribe to training sessions available in either french, english or german, organized at the premises of Fundsquare S.A. at the end of August and mid of September.

Please us the following link


General Questions

If you have questions to the shown content on the FLC Monitoring, please address your question to [1].

In case of questions to your access, please contact your local e-file administrator.

Should you encounter other technical problems, please contact our Client Support & Operations Desk.