Wealth Management · Xignifi Agent

NAV Reconciliation Agent Stop Letting NAV Breaks Delay Investor Confidence.

The NAV Reconciliation Agent automatically matches NAV statements, capital accounts, administrator records, and internal fund data to identify discrepancies before they become operational issues. 

Reduce reconciliation effort, improve accuracy, and keep fund operations moving with confidence. 

How Much Time Is Your Team Spending Chasing Reconciliation Breaks? 

NAV reconciliation remains one of the most manual and time-consuming processes in fund operations. 

Teams often spend days comparing statements, validating balances, investigating discrepancies, and coordinating across multiple stakeholders. 

What it does

What If Most Reconciliation Breaks Resolved Themselves?

Fund operations teams shouldn't have to spend hours comparing spreadsheets and statements. 

The agent automatically reconciles records, identifies exceptions, and surfaces only the breaks that require human attention. 

Matches NAV Statements Automatically

Compares administrator, custodian, and internal records in real time.

Identifies Reconciliation Breaks

Detects discrepancies across balances, transactions, and positions.

Validates Capital Account Activity

Ensures investor allocations and account movements align correctly.

Prioritizes Exceptions

Surfaces only the breaks that require operational review.

Accelerates Month-End Processes

Reduces the effort required to complete reconciliation activities.

How it works

From NAV Statements to Reconciled Records

Every record follows a structured path from matching to exception management. 

The result is faster reconciliation, improved accuracy, and fewer operational bottlenecks. 

STEP 1

Collect

STEP 2

Match

STEP 3

Validate

STEP 4

Identify Exceptions

STEP 5

Resolve

Outcomes

Less Manual Review. More Operational Confidence.

Reduce reconciliation effort while improving transparency across fund operations. 

Give teams more time to focus on exceptions rather than routine matching. 

Built for Modern Fund Operations. 

Xignifi combines document intelligence, decisioning, and workflow orchestration into a single agentic platform. 

Instead of relying on spreadsheets and manual comparisons, the NAV Reconciliation Agent continuously validates records and identifies issues before they impact reporting. 

FAQ

Still Have Questions? 

The NAV Reconciliation Agent can reconcile NAV statements, capital accounts, administrator records, custodian records, and internal fund data. 

Yes. Matching logic, tolerance thresholds, and reconciliation workflows can be configured to your operational requirements. 

It automatically identifies, categorizes, and prioritizes exceptions for operational review. 

Yes. The agent can operate across multiple funds, vehicles, and investment structures. 

No. It automates repetitive reconciliation work and allows teams to focus on complex exceptions and decision-making. 

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