Every fund transaction, tracked and reconciled.
Commitments, capital calls, contributions returned, and distributions — recorded on governed masters with full audit trails and reporting at every stage of the deal lifecycle.
Four transaction types, one audit trail
Commitments
Capture each investor's commitment amount on the Commitment Master — the anchor record every later transaction reconciles against.
Capital Calls
Record and manage capital call transactions against commitments, with amounts and status visible to the Fund Manager, Advisor, and Investor.
Contributions Returned
Add and update Contributions Returned transactions — returned amounts tracked per investor with a clean audit trail back to the original call.
Distributions
Manage distribution events on the Distributions Master — configurable schedules across investor classes with client-level disbursement tracking and K-1 / 1099 income typing.
The transaction spine, screen by screen
Capital calls, distributions, and investor-facing tracking — captured on governed forms with status, payment method, and audit fields built in.
Every call captured against its commitment
Call percentage, amount, notice and due dates, payment method and status, amount paid, outstanding balance, and capital returned — one form, fully reconciled.
- Call code ties the call to the offering
- ACH payment method and paid status tracked
- Contribution status including returns

Distribution events with income typing
Each distribution carries amount, date, distribution type, income type (K-1 or 1099), payment method, settlement status, and a memo — clean records for tax season.
- Income vs. return-of-capital distribution types
- 1099 and K-1 income classification
- Settled status with payment method

Called vs. paid vs. outstanding — live
Investors and advisors see total called, total paid, and outstanding balance per offering with call percentage and status — the same governed record the Fund Manager works from.
- Capital calls tab on My Investments
- Per-offering call detail with dates and notes
- Year and status filters
Actual product screens, shown as configured and white-labeled for RedGram Wealth Management — an investment advisory firm running on EbixMeridian. Your firm gets the same portal under your own brand.
Transaction masters
Audit-trailed entries
Bulk import format
Income types (K-1 / 1099)
Move your book in without re-keying it
The Advisor or Fund Manager uploads Commitments, Capital Calls, and Distributions through Excel files on the Import Data screen from the Tools menu — migration and monthly loads without manual entry.
Load commitment books in bulk through .xlsx files on the Import Data screen.
Upload capital call runs the same way — validated on the way in.
Bring distribution events across from your fund accounting workbooks.
Import Data lives in the Fund Manager and Advisor toolset — not a back-door script.
Reconcile the fund,
not the spreadsheets
See commitments, calls, returns, and distributions flow through one governed transaction spine.