JUMP Front-to-Back delivers a business-driven approach to investment accounting, offering automation, real-time reporting, and full audit trails. By directly linking records to trades and settlements, it reduces errors and enhances control. While its breadth may require adjustment, it’s a smart fit for firms prioritizing transparency, accuracy, and regulatory confidence.
JUMP Front-to-Back Specifications
Financial Reporting
Tax Management
Budgeting and Forecasting
Audit Trails
What Is JUMP Front-to-Back?
JUMP Front-to-Back offers a comprehensive accounting module designed to automate and streamline financial operations for the investment industry. It provides a business-driven accounting process where entries are generated automatically from investment activities like trades and settlements.
Key features include a real-time valuation engine, multi-currency and multi-account plan support, and a complete audit trail, helping firms reduce manual errors, ensure data consistency, and maintain regulatory compliance with full traceability.
JUMP Front-to-Back Pricing
JUMP Front-to-Back Integrations
Who Is JUMP Front-to-Back For?
JUMP Front-to-Back is mainly designed for businesses in the following industries:
- Investment management
- Insurance
Is JUMP Front-to-Back Right For You?
JUMP's accounting module is an excellent fit for financial institutions seeking to automate complex investment accounting processes and enhance operational control. Its strength lies in its business-driven approach, which ensures that accounting records are a direct, error-reduced reflection of investment activities.
For firms managing diverse, multi-currency portfolios, the real-time valuation engine and flexible ledger support provide the clarity needed for accurate reporting and strategic decision-making. The platform's complete audit trail is a critical asset for maintaining stringent regulatory compliance and internal governance.
Still doubtful if JUMP Front-to-Back is the right fit for you? Connect with our customer support staff at (661) 384-7070 for further guidance.
JUMP Front-to-Back Features
Directly connected to business operations, the real-time valuation engine allows firms to monitor commitments and value positions instantly. This provides an up-to-date, accurate financial picture across all portfolios, which is crucial for timely decision-making and reporting.
Manage your financial calendar with precision using tools for intermediary and annual closings. The software allows for the management of accounting periods by portfolio and handles balance transactions for profit and loss accounts, providing the flexibility needed for rigorous financial oversight.
Ensure full compliance and security with a complete and unalterable audit trail. This feature provides full traceability of all repository changes, executed controls, and business operations, supported by fine-tuned management of user rights and automatic archiving for robust governance.