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Our Products

VieFUND Back Office is a complete bilingual web-based solution for investment dealers in Canada (Mutual Fund, Segregated Fund, Exempt Market and Term Deposit). We offer a comprehensive functionality with simple navigation and high-performance searches with a flexible database structure.

VieFUND functionalities include:

  • Batch and Real Time communication with FundSERV.
  • CANNEX Exchange.
  • Kronos Exchange.
  • Complete client management including financial and banking information, identification and employment.
  • Complete account management including all account types, registrations, KYC, beneficiaries, spouse and groups.
  • Electronic orders.
  • Manual trades and non-wired orders.
  • B2B ETF.
  • Trust Account processing.
  • Comprehensive Commission Receivable, Payable, and Payroll processing.
  • Wide ranges of reports including KYC, Account Statement, Historical Statement with ROR, AUA Survey etc...
  • PDF prefilled forms.
  • Daily Compliance reporting.
    • Incomplete KYC.
    • Account Opening and Update.
    • Trade Suitability, LEV, POA, Initial, Non-wired, etc...
  • Trend Analysis reporting.
    • Excessive trading and commission trends.
    • Short-term, DSC issues, Redemptions and Switches with Fee and Inter-load Switches.
    • Sale Commission.
    • Quarterly AUA.
  • Investors Web Access.
    • Portfolio viewing.
    • Electronic statements.
    • Reminder and notification.
  • Fundata import.
  • API for 3rd Party application integration.
  • Customizable email templates and disclaimers.
  • Full CRM 2 Compliance and reporting.
  • Full AUA Multi-layered analysis tool.
  • Advanced RIFF optimization.
  • Transfer reminder.
  • Fund Facts automation and multiple advanced service options.

Copyright © 2019 VieFUND corporation. All Rights Reserved.