Foundations

Portfolio Monitoring and Reporting for Foundations and Impact Investors

Oak Branch Advisors helps foundations and impact investors track, verify, and report on investments across their portfolios with the transparency their mission and impact goals require.
What We Do for Impact Portfolios

Specialized Support for Impact Investors

Oak Branch Advisors provides a range of middle and back office services to foundations in support of their impact investment programs. These portfolios may include Mission-Related Investments (MRIs), Program-Related Investments (PRIs), sustainable and thematic investments. Our comprehensive services for these clients include the modeling of portfolio investments (debt, equity and other instruments), ongoing investment monitoring, compliance services, invoicing, investee communications, and customized reporting. Oak Branch clients include three of the most prominent foundations in the United States.

Common challenges:

Our Core Services for Impact Portfolios

Services for Maximum Impact

Investment Onboarding

We review legal documents at onboarding and as each new investment is added, extracting the data needed for ongoing monitoring, including static investee data, key dates, commitment amounts, funding and amortization schedules, and interest, dividend, and fee terms.

Investment Modeling

We model each constituent portfolio investment, including calculations of accruals and payment schedules based on the specific terms and conditions of each investment.

Funding & Payment Monitoring

With read-only access to client bank accounts, we perform reconciliations and report on daily activity such as interest and principal payments, guarantee fees, dividends, and fundings, and we track capital calls, allocating principal payments and interest or fees.

Compliance Monitoring

We track incoming reporting requirements from investees, review documents for compliance, follow up on delinquent reporting, and notify clients of any non-compliance.

Invoicing & Investee Communications

We create and send invoices to investees based on interest calculations and amortization schedules in the legal agreements, and with client consent we handle investee communications, including reminders for missed payments and follow-ups on reporting delinquencies.

Comprehensive Reporting

We deliver reporting packages tailored to each client at the frequency they need (daily, weekly, or monthly), covering trial balances, general ledger account mappings, outstanding balances, commitment levels, loss reserves, cash availability, and bank activity.

How We Integrate

An Extension of Your Middle and Back Office

While most foundation clients use a core suite of services, we customize our service model to meet the specific needs of each foundation’s impact program, integrating seamlessly as an extension of their middle and back offices. We also add value through the investees’ audit confirmation process, maintaining up-to-date contact and wire information for invoicing and reporting, and handling ad hoc reporting requests.

Who We Work With

Leading Impact-Driven Institutions

Oak Branch Advisors supports foundations and other investors managing impact portfolios.

Powered by PCS/1

The Technology Behind the Service

Our proprietary platform, PCS/1, is used to model each investment, track funding and payment activity, and produce the customized reporting that foundation impact programs require.

Getting Started

A Clear Path to Better Impact Portfolio Oversight

01
02
03
04

Discovery

We review your current impact portfolio, investees, and reporting needs.

Solution Design

We tailor a middle and back office service model to your program.

Onboarding

We onboard investments, establish data feeds, and set reporting cadence.

Ongoing Partnership

Continuous monitoring, invoicing, communications, and reporting.

Frequently Asked Questions

Choosing an operational partner is an important decision. Whether you’re moving away from spreadsheets, replacing a provider, or preparing for growth, we’re committed to providing the transparency and expertise you need to make an informed choice.

We provide middle and back office support, including investment onboarding, modeling, funding and payment monitoring, compliance monitoring, invoicing, investee communications, and comprehensive reporting.

These services are related to our core private credit work, but are tailored to the specific needs and requirements of foundation impact programs.

Our proprietary platform, PCS/1, handles the modeling, monitoring, and tailored reporting these portfolios require.

Request a Consultation