Mutual Funds Administration
Reimagined
Our tools streamline the administration of mutual funds and unit trusts. From subscriptions and redemptions to NAV calculations and regulatory reporting, we provide end‑to‑end automation that enhances efficiency and compliance.
Norbus provides mutual fund software designed to support fund administration, investor management, transaction-related records, and reporting needs.
The solution helps institutions manage mutual fund processes with greater structure, consistency, and confidence.

Key Capabilities
Built for scale, security, and performance across the full
mutual funds lifecycle.
Investor Records Management
Fund Transaction Records
Reporting Support
Administrative Workflows
Data Search and Retrieval
Maker- Checker
Fund Activity Tracking
Strategic Benefits for Your Institution
Purpose-built platforms for financial institutions that demand precision, security, and reliability at every transaction.
Simplify Fund Administration
Manage investor and fund-related activities through one structured platform.
Improve Record Accuracy
Maintain clean, organised, and accessible records for fund activities.
Support Timely Reporting
Generate and access reports that support operational review and decision-making.
Protect Investor Information
Handle sensitive investor data with security and confidentiality in mind.
Improve Service Delivery
Support faster access to information and more efficient client service.
Manage Mutual Fund Operations with Greater Confidence
Let Norbus help you implement a reliable mutual fund administration solution.