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Ashta

Ashta is an end‑to‑end platform for alternative‑investment fund managers that consolidates LP onboarding, KYC/KYB/AML verification, document generation, e‑signatures, and capital‑call processing into a single, audit‑tracked workflow. By replacing separate tools such as DocuSign, Persona, and spreadsheets, it automates data capture, compliance checks, and wire handling while feeding clean, real‑time data into fund accounting systems, reducing onboarding time from weeks to days.

Updated 2 months ago

Funding

Funding not disclosed

Funding rounds are not available yet.

Founders

Founder details are not available yet.

Product

Problem

Fund managers and administrators must juggle multiple disjointed tools—PDF subscription packets, email threads, KYC services, e‑signature platforms, and spreadsheets—to onboard, verify, sign, and fund limited partners (LPs). This fragmented workflow creates manual data re‑entry, audit gaps, and delays that can extend onboarding from weeks to months.

Solution

Ashta provides a single, end‑to‑end platform that consolidates LP onboarding, compliance verification, document generation, e‑signatures, and capital‑call processing into one audit‑tracked workflow. Users capture investor information, run multi‑jurisdictional KYC/KYB/AML checks, generate subscription agreements and side letters, and execute wire instructions without leaving the system. All actions are timestamped, IP‑stamped, and stored in a unified audit log, eliminating the need for separate vendors and reducing re‑keying errors. The platform integrates with fund administrators’ accounting systems to feed clean, real‑time data for downstream reporting, tax document generation, and share‑registry updates. By automating each step, Ashta accelerates LP onboarding from weeks to days while maintaining regulatory compliance across jurisdictions.

Target Audience

Primary customers are alternative‑investment fund managers and their back‑office teams who need to streamline LP onboarding, compliance, and capital‑flow processes across multiple jurisdictions.

Features

  • Integrated investor onboarding form that captures entity details, commitment amounts, and accreditation status in a single interface
  • In‑line KYC/KYB/AML verification with multi‑jurisdiction support, replacing external services such as Persona or Onfido
  • Automated generation, versioning, and e‑signature of subscription agreements, side letters, and NDAs within the same workflow
  • Real‑time wire instruction handling and capital‑call tracking that updates commitment status automatically
  • Centralized document vault and audit log with timestamped, exportable records for each LP and fund
  • Built‑in modules for tax document creation (K‑1, T5013, 1099), waterfall calculations, and share‑registry management
  • Seamless data feed into existing fund accounting systems, reducing manual spreadsheet updates
This profile is AI-generated and may contain inaccuracies.