
Helenastrasse 3, 8008 Zurich, Switzerland
Transforming fund data into a strategic asset for asset managers, distributors, and wealth platforms worldwide
FundPoint is a specialised data and technology partner dedicated to improving how financial institutions manage, control, and distribute fund information. We help asset managers, banks, wealth managers, platforms, and distributors ensure their fund data is accurate, compliant, consistent, and market-ready across all channels. In a landscape where high-quality data directly impacts investor trust, operational efficiency, and regulatory compliance, FundPoint delivers the infrastructure and expertise required to make data a competitive advantage rather than an operational burden.
Our core offering combines centralised data management, automated validation, and secure distribution to create a single, reliable source of truth for fund information. We aggregate data from multiple inputs, apply rigorous quality checks, and deliver validated outputs to vendors, partners, and client-facing systems. This approach reduces manual intervention, minimises errors, accelerates time-to-market, and strengthens transparency across the entire distribution chain.
Beyond technology, FundPoint provides tailored solutions and advisory support aligned to each client’s operational model and strategic goals. Our team brings deep industry experience and a practical understanding of regulatory, operational, and commercial challenges faced by modern financial institutions.
By uniting data expertise, intelligent automation, and flexible integration capabilities, FundPoint enables firms to streamline workflows, enhance reporting accuracy, and improve client engagement. We position fund data as a strategic foundation that supports better decision-making, stronger relationships, and scalable growth across the global investment ecosystem.
FundPoint’s “Veritas” - Fund Data Quality & Distribution Platform - supports wealth managers, asset managers, and fund distributors by ensuring the integrity and delivery of all critical fund-related information. The solution centralises fund static data, Net Asset Values (NAVs), regulatory disclosures and commercial documentation into a controlled hub. Through rigorous......