Fund administration platform for alternative asset managers
Opus Fund Services operates a back-office platform for hedge funds, private equity, and real estate managers across 500+ fund clients globally. The tech stack is a hybrid of legacy finance infrastructure (Bloomberg, Refinitiv, SQL Server, Excel/VBA) and modern web layers (Python, Flask, .NET, Azure), reflecting a company in mid-modernization. Active hiring skews heavily toward finance and operations roles with senior seniority weights, while project velocity focuses on client onboarding automation and control hardening—suggesting growth constraints tied to manual processes rather than platform scalability alone.
Opus Fund Services is an independent fund administrator based in Hamilton, Canada, serving 500+ fund managers and 100,000+ investors across hedge funds, private equity, private credit, real estate, and family offices. The company provides fund accounting, middle and back office operations, investor services, and portfolio reporting. Operations span seven countries (Canada, Ireland, UK, Mauritius, India, South Africa, Philippines), with regulatory licensing in Bermuda and Ireland. The platform automates transaction processing, NAV calculations, and investor reporting; recent project focus centers on onboarding complexity, workflow efficiency, and control implementation around transaction review and AML/CTF compliance.
Python, Flask, .NET, MySQL, PostgreSQL, SQL Server, Azure, Bloomberg, Refinitiv, Excel/VBA, and Git. The mix reflects both legacy fund accounting systems and modern web application layers.
500+ fund managers globally, representing 100,000+ individual investors across hedge funds, private equity, private credit, real estate, and family office strategies.
Other companies in the same industry, closest in size