Tracks every deal and asset in one place
One record per opportunity, carried across all ten lifecycle stages, with documents, decisions, valuations and performance attached to it.
Platform Investment Process Lifecycle Management
DEALWISE is a centralised system that helps institutional investment teams move faster and smarter by turning deal and asset chaos into a single, trusted source of truth.
Built for private equity, private debt, real estate, infrastructure and fund investment teams.
Designed around the standards institutional investors are held to
The value proposition
Without an integrated deal and asset management system, institutional investors face structural limitations in transparency, control, scalability and risk management.
One record per opportunity, carried across all ten lifecycle stages, with documents, decisions, valuations and performance attached to it.
Board packs, LP reports and regulator submissions are generated from live data, so every number reconciles across every output.
Senior management sees pipeline health, exposure, covenant status and risk ratings as they change, without waiting for the quarter-end pack.
Structured workflows, delegated authority and immutable audit logs replace inbox approvals and personal spreadsheets.
By the numbers
Indicative figures from a DEALWISE reference deployment across two portfolios.
End-to-end deal flow
DEALWISE ships with an ideal deal flow; it can be customised based on your organisation's Delegation of Authority and portfolio needs.
Opportunity registered with sponsor, source, indicative size and a unique deal code. Screening criteria applied.
First-pass commercial, sector and country assessment. Early risk flags, indicative probability and go / no-go recommendation.
Investment Committee paper assembled from live data. Decision, conditions and rationale recorded against the deal.
Workstreams for commercial, financial, legal, tax, technical and ESG. Findings, severity and remediation tracked to closure.
Multiple methods, scenario and sensitivity analysis, entry pricing and target IRR captured with full working papers.
SPV design, instrument mix, shareholder rights, conditions precedent and covenant package defined.
Signing, conditions precedent clearance, funds flow, completion accounts and post-completion obligations.
Financial and operational performance, covenant monitoring, board reporting, valuations and risk ratings on a live cadence.
Exit readiness, buyer engagement, transaction workstreams and proceeds tracking against the original underwriting case.
Realised returns, full deal history and lessons learned retained permanently as institutional memory.
Features at a glance
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.
Ten institutional teams modelled out of the box, with role-based permissions, delegations and a configurable Delegation of Authority matrix.
Treasury, accounting and cash management, auditing and GRC solutions, and cybersecurity tooling, connected through secure APIs, scheduled jobs and webhooks.
Every term sheet, IC paper, SPA, valuation model and board pack in one taxonomy, versioned, permissioned and searchable across the whole portfolio.
Financial, operational and risk reporting produced from live data, with an immutable audit log recording who changed what, when and why.
The built-in ideal deal flow can be reshaped around your own Delegation of Authority, portfolio structures, stage gates and approval thresholds.
Portfolio & deal management
Every opportunity carries a unique deal code, a registered date, an owner and a probability, and moves through stage gates that reflect your own governance rules.
Modules
All organised around Portfolios, so a private equity direct book, a funds programme, real estate and infrastructure can run side by side under a common governance model.
The problem we solve
A constraint on performance, governance and institutional resilience. These are the limitations investment offices tell us about most often.
Fragmented deal information across emails, Excel files and teams
Limited visibility for senior management into pipeline health and progress
High dependency on individuals to track deal history and rationale
Limited audit trail of decisions, approvals and changes
Knowledge loss when team members leave
Challenges in supporting audit and regulator reviews
Time-consuming report production cycles
Inconsistent data across reports
Roles and responsibilities
Built-in, role-based controls mean each team sees exactly what its mandate requires, and the handover between teams runs as a tracked workflow.
Responsible for sourcing and generating potential investment opportunities.
Conducts in-depth analysis to evaluate the viability and risks associated with the investment.
The decision-making body that approves or rejects investment opportunities.
Determines the value of the investment and structures the deal terms.
Executes the final investment transaction.
Manages the SPV used for the investment to isolate risks and manage assets.
Governance by design
DEALWISE is designed around ILPA Principles, the PMI framework, COSO, ISO 31000 and ISO 27001, so evidence for internal audit, external audit and the regulator can be produced as a standard report.
Frequently asked
See DEALWISE configured to your own delegation of authority, portfolios and reporting pack. A guided walkthrough takes 45 minutes.