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Tax planning opportunities for 2024/25 Replacement of the lifetime allowance Retirement Income Pension Forum The Platform Clinic Pension, retirement and tax planning Pensions tax relief and annual allowances The beneficiaries flexi-access drawdown conundrum Retirement and pensions training Personal tax and trust planning training
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Reporting services
We offer a wide range of reports, which are easy to access online at any time.
Our reports are held securely and enable you to find data and client information quickly and efficiently. You can specify which reports you receive and how frequently you get them.
View our full suite of online reports
Report name |
Summary |
Key benefits |
Frequency |
---|---|---|---|
Account Information |
This report details which clients have been migrated to our new product administration system and helps determine what MiFID II information is required. |
Provides time and date of client migration to our new product administration system, as well as an indication of whether additional MiFID II information may be needed, for example if the client holds an exchange traded investment. The report also shows you if the client has registered for online access. |
Daily |
Adviser Fee Rates |
This report lists all clients’ accounts set up with an Ongoing Fee, at what rate and where the deductions will come from along with the account valuation. |
Supports the administration of clients on fee agreements as well as calculating fee expectations. |
Daily |
Adviser List |
This report details all branches that are linked to the Unique Agency Number (UAN). |
This report is intended for organisations who wish to verify the details of all their UANs set up with us. |
Daily |
Adviser Fee Payments |
This report details all adviser fees earned during the previous month. The report is sent monthly, on or before the 25th of each month following each fee payment run. |
Produced to support the payment and reconciliation of adviser fees. |
Monthly |
Annual Distribution Summary |
A report summarising all distributions for non-tax wrapped (OEIC/UT) and Pension investments for the previous financial year. This report is produced annually in May/June. |
Provides a summary of your clients’ non-tax wrapped distributions for the previous financial year allowing you to help with their distribution enquiries. |
Annually |
Assets Under Management |
This report gives a snapshot of Assets Under Management, broken down by product, fund provider, fund and agency. |
Gives an overview of asset distribution across funds, providers and sub agencies, enabling analysis of any risk concentrations and asset allocation. |
Daily |
Cancelled Deals |
This report details all transactions which have been cancelled during the selected period. |
The report is intended for advisers who wish to track any deals which are cancelled after they have been priced. |
Daily |
Cash Report |
This report shows cash within an account in addition to details on regular transactions set up, such as income, fees, and withdrawals |
It shows available cash and any regular transactions which could impact cash |
Daily, Weekly, Monthly, Quarterly |
Client List* |
This report details all current clients and the number of active accounts currently held, as well as listing those clients paying the Investor Fee and any remuneration model they are under. It now includes details of adviser consultant IDs linked to the attributed Pension accounts. |
It can be used to update your client database or in order to produce a mailing list for your clients. The report also includes clients’ e-mail addresses. |
Daily |
DFM Fee Payments |
A statement showing all DFM payments your clients have paid |
This report will be used to review how much your clients have paid in DFM fees, additionally it is used to calculate any manual payments still required. |
Monthly |
Fund List |
This report details all funds currently available on the platform. |
This report allows you to maintain an accurate list of funds that can be purchased or re-registered on the platform. |
Daily |
Holdings |
This report details all client holdings by fund and will include the number of units or shares held and the latest fund values. Any zero balances are excluded. |
Full reporting of all clients’ holdings – allowing you to keep track of assets on the platform at both product and client level. |
Daily |
Income Distributions |
This report details any income distributions on non-tax wrapped (SICAV/OEIC/UT) clients’ accounts during the period. It provides the same information that is provided in a tax voucher. It now includes details of SICAV income payments as well. |
Allows you to keep up-to-date with clients’ income and tax position. |
Daily |
Investor Fee Collections* |
This report details collections of the Investor Fee from your clients, including where the fee was collected from or if it was unsuccessful, and on what date the fee was collected within the period the report covers. |
Allows you to keep track of the deductions for the Investor Fee and ensure they are coming from the designated holding. |
Daily |
ISA Contribution Report |
A two part report detailing clients who have opened an ISA but have not utilised their full allowance, as well as clients linked to your agency that have yet to open an ISA in the current tax year. Now includes any unwrapped collectives and cash holdings which could be moved into an ISA. |
Suitable for generating marketing mailings to your customers in the run up to the end of the tax year, to ensure ISA allowances are being effectively used. |
Daily |
ISA Income |
This report details any income distributions within clients’ ISA accounts during the period chosen. It provides the same information as the paper ISA income statements sent to clients. |
Allows you to keep up-to-date with clients’ ISA income; including reinvested units. |
Weekly |
Model Portfolio and Assigned Clients |
This report lists all clients linked to Model Portfolios. |
Provides details of clients linked to different models, the client’s current valuation and date last rebalanced. |
Daily |
Monthly Sales |
A report giving you a concise overview of the last six months sales figures on the platform, containing net sales, gross sales and redemptions. |
Allows you to have a quick overview of the business conducted over a rolling six month period. |
Monthly |
Pension Summary |
A report providing a detailed overview of all pension accounts. |
This report shows full details of all clients' pension accounts. It provides key details such as withdrawals, contributions and tax positions. |
Weekly |
Pension Transfer Status |
This report gives you a snapshot of clients’ pension transfers so you can see how they are progressing. |
Allows you to view and track the status of all your clients’ in-bound pension transfers from other providers. The report also identifies whether any documentation is still required to complete the transfer. |
Daily |
Portfolio Valuations & ISA Allowances |
This report details total portfolio holdings by client and lists the remaining current year ISA allowance. |
Provides a high level overview of your clients’ total holdings and remaining ISA allowance, helping with client segmentation and targeting those who have not fully utilised their ISA allowance. |
Daily |
Product Costs |
A report at account level detailing all MiFID II related product costs and charges per month for the last 18 months. |
Provides a full breakdown of product charges including Investment Charges (OCF, Entry/Exit, Transaction and Incidental costs). |
Daily |
Re-registration Status Report |
This report shows the detailed status and updates on all outstanding re-registration in cases |
Provides an overview of all outstanding or recently closed re-registration in cases. At asset and account level it shows the status, provides rejection reasons and any conversion activities. |
Daily, Weekly, Monthly, Quarterly |
Regular Savings Plan |
This report details all the regular savings plans (previously known as monthly savings plans) which are set up for your clients and their current status. |
Enables you to track how many payments have been made, the current amount and when the next payment is due. |
Daily |
Regular Savings Plan Fee Rates |
This report lists all clients set up for regular savings plans where an initial fee rate has been applied. |
Supports the ongoing administration of clients on fee agreements and allows you to check key details such as initial fee type, rate and monthly collection amounts. |
Daily |
Sales Report |
A report detailing all major transactions (such as purchases, redemptions, switches, transfers and re-registrations) but excluding administrative transactions (such as reinvested units, tax credits and interest accruals). |
Allows you to concentrate on the most important account activity and monitor actual business transactions placed by you and your clients. |
Daily |
Service Costs |
A report at account level detailing all MiFID II related full costs and charges per month for the last 18 months. |
Provides a full breakdown of MiFID II costs and charges including all of our Fees and Adviser Fees. The report also shows a rolling 12-month aggregate of all costs and charges each month. |
Daily |
Transactions |
This report details all transactions during the selected period. |
Provides details of recent transactions to enable you to check key details such as charges, fees and other deal information. |
Daily |
Web Access |
Shows individuals set up under an agency number with a consultant ID for web access. Details all the permissions the individual is set up with such as dealing, viewing accounts and reporting services. |
Enables you to keep track of users and ensure that they have the correct permissions set up. |
Weekly |
*Please note that details regarding the Investor Fee for accounts held by two or more clients are not displayed on this report.