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DEALWISE features at a glance

Lifecycle coverage, built-in role controls, seamless integration, centralised documentation with advanced search, and asset reporting with audit logs.

Private Market Investment Process Lifecycle

Covers the end-to-end journey, from origination, assessment, IC review, diligence, valuation, structuring and execution through to asset management, divestment and exit, in one continuous record.

Built-in Roles and Responsibility Controls

Ten institutional teams modelled out of the box, with role-based permissions, delegations and a configurable Delegation of Authority matrix.

Seamless Integration with Other Systems

Treasury, accounting and cash management, auditing and GRC solutions, and cybersecurity tooling, connected through secure APIs, scheduled jobs and webhooks.

Centralised Documentation with Advanced Search

Every term sheet, IC paper, SPA, valuation model and board pack in one taxonomy, versioned, permissioned and searchable across the whole portfolio.

Asset Reporting with Audit Logs

Financial, operational and risk reporting produced from live data, with an immutable audit log recording who changed what, when and why.

Customisable to Your Organisation

The built-in ideal deal flow can be reshaped around your own Delegation of Authority, portfolio structures, stage gates and approval thresholds.

By capability

What the platform does, in detail

Opportunity registration

Register a new deal in under a minute with unique code, source, sponsor, sector, country, indicative size and screening outcome.

Deal pipeline & register

Stage-tabbed pipeline with counts, probability weighting, drag-ordered priorities, saved views and full-text search.

Deal team & access

Assign owners, contributors and observers per deal, with time-bound access requests and an approval trail.

Deal documents

Pre-investment, post-investment, valuation, SPV, legal, finance and audited financial statements filed to one taxonomy with version history.

Advanced search

Search any deal by text and any document by content across the whole portfolio, respecting each user's permissions.

Ask Anything to AI

Natural-language questions over your own deal and asset data, answered with links back to the underlying records.

Diligence workstreams

Commercial, financial, legal, tax, technical and ESG streams with owners, checklists, status and adviser mandates.

Findings register

Findings by category and severity, with remediation owner, target date, escalation and closure evidence.

Risk rating

Configurable risk categories and scales aligned to ISO 31000, with periodic re-rating and rating history retained.

Covenants & conditions

Covenant types, thresholds, test dates and breach alerts, plus conditions precedent and subsequent tracked to clearance.

Compliance checks

KYC, sanctions, conflicts and policy exception handling recorded against the deal and reportable for audit.

Watch lists

Assets flagged for heightened monitoring surface automatically in management reporting until the flag is cleared.

Valuation methods

DCF, market multiples, precedent transactions, NAV and third-party valuations maintained side by side with a designated primary.

Scenario & sensitivity

Base, upside and downside cases with sensitivity ranges, retained as working papers against each valuation date.

Valuation history

Every revaluation preserved with method, inputs, approver and rationale, giving a defensible trail for auditors.

Deal structure & SPV

Ownership chain, entity register, instrument mix, shareholder rights, reserved matters and governance seats.

Transactions

Capital calls, drawdowns, follow-ons, distributions and disposals with a complete request-to-cash trail.

Exposure views

Exposure by portfolio, sector, geography, currency, vintage and counterparty, refreshed as transactions settle.

Financial performance

Revenue, EBITDA, leverage and cash performance against budget and the original underwriting case.

Operational performance

A configurable KPI library per sector, collected on a defined cadence with variance commentary.

Asset updates

Board meeting outcomes, management changes, material events and portfolio company news captured in a dated log.

Breach & SLA alerts

Covenant tests, reporting obligations and remediation dates escalate automatically when they slip.

Divestment & exit

Exit readiness, route selection, process milestones, proceeds tracking and post-exit reconciliation.

Attribution

Realised and unrealised performance attributed by portfolio, sector, vintage and deal team.

Report catalogue

Board packs, IC packs, LP reporting, exposure, pipeline, covenant and risk reports available from a governed catalogue.

Live dashboards

Investment Home, Portfolio Home and Deal Home views that drill from institution-level totals to a single document.

Audit trail

Immutable log of decisions, approvals, data changes and document access, filterable, exportable and retained.

Scheduled distribution

Reports generated and distributed on a schedule to named recipients, with delivery evidence retained.

Data export & API

Structured export and REST APIs so downstream analytics, data warehouses and regulator submissions stay in sync.

Security logs

Authentication, permission change and privileged action logs forwarded to your SIEM.

Ready to replace the spreadsheet operating model?

See DEALWISE configured to your own delegation of authority, portfolios and reporting pack. A guided walkthrough takes 45 minutes.