Who we work with
Our clients are fund managers in three main categories: RE Equity, RE Debt, and PE/VC. Our clients want to focus on making deals and raising investor capital. They look to outsourced professionals, rather than a large internal team to handle their fund accounting, financial reporting, and investor reporting.

Private Debt / Direct Lending / Bridge Lending
High Divide Management was built specifically to meet the needs of this growing and underserved industry - we know it inside and out. Direct Lending is unlike any other asset class and demands unique financial and investor reporting. As the funds are oftentimes open-ended and make regular distributions to LPs, robust controls around investor allocations and the voluminous capital activity is necessary. From the deal side, fund managers need loan-specific tracking of reserves, reimbursements, interest, and returns, as well as detailed reconciliations to loan servicers.

Real Estate Equity & REITS
Whether you have a single-investment real estate entity or a commingled real estate fund, High Divide Management will make sure your financial and investor reporting needs are covered. Fund managers in the space continue to be creative with the way their funds and joint ventures are structured in order to maximize control and tax efficiencies over their real estate assets. In addition to handling the day-to-day bookkeeping and reporting, we have seen it all and are here to help you untangle or understand your complex fund structure and waterfall.

Private Equity & Venture Capital
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