You are a pension fund stakeholder. Whether from the public sector or for a corporate pension, you are a pension fund manager, member of a pension fund investment committee, a trustee, consultant, auditor or fund secretary. You are responsible for the management of the pension fund and your decisions directly affect its success. You need to focus your time and resources on ensuring that the fund is safe, solvent and compliant with regulatory requirements.
You need the support of a global custodian who understands your business; on whom you can rely to provide a solid and secure location for your assets; who underpins your work by providing straightforward and proficient solutions to your requirements.
Talk to ABN AMRO Mellon for the solution you need. Over 50 percent of our worldwide clients are pension fund stakeholders. We have a team of experts dedicated to providing flexible and reliable services for pension funds such as yours.
ABN AMRO Mellon provides the most secure environment for your assets. Our bank is founded on the capital commitment of two equal shareholders, ABN AMRO Bank and Mellon Financial Corporation. In addition to this strong capital backing, our parent companies are jointly and severally liable for the financial obligations of the company, having filed a 403 declaration with the Trade Register of the Amsterdam Chamber of Commerce - a further reinforcement of the stability of our business.
We are committed to providing you with controls and checks to enhance transparency and to ensure that your fund meets your specific guidelines and parameters. We offer customised services to help you identify and manage your portfolio's performance and to minimise potential losses.
We can help you to reduce administrative burdens and costs. We offer a suite of cost reduction and revenue generation tools and services, such as commission recapture, transition management, securities lending, cash management and foreign exchange, transaction analysis and broker commission reporting.
We know how much importance our clients place on receiving accurate, timely information, in order to follow their
portfolio and liaise with portfolio managers with up-to-date knowledge of the fund's performance. Also paramount is the need to receive revenue streams on time. We make sure that we supply all the information you require on a timely basis, in easily structured formats that can be downloaded and processed to suit your individual needs. We work hard to make sure transactions are processed smoothly and efficiently, to minimise risk and ensure deadlines are adhered to
We can provide a 360 degree view of the assets and liabilities across your pension fund. Our reporting tools are designed to provide the oversight of the fund needed to ensure your accounts are compliant with your investment policy objectives...
Our regular workshops and seminars are designed to provide information, consultation, training and support to make sure you are always aware of changes in compliance guidelines, accounting standards and scheme governance requirements. Our services evolve to keep pace with the ever-changing industry, and are tailored to increase transparency, simplify stringent procedures and alleviate the administrative burden of regulatory reporting requirements.
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