Secure Distribution Processing That Builds Investor Confidence
Secure payments, complete investor visibility, and professional communications that establishes trust.
Book a Consultation.png)
Secure payments, complete investor visibility, and professional communications that establishes trust.
Book a ConsultationManage your complex distribution requirements with direct payment processing and verified entity infrastructure.
Direct ACH and Check Processing
Send distributions directly from the platform with complete payment status visibility for your operations team
Flexible Distribution Creation
Calculate standard pro-rata distributions or create custom payments for specific investor situations like partial distributions, catch-up payments, or special allocations.
Secure Payment Infrastructure
Verified bank accounts and business entities ensure compliant distribution processing.
Provide your investors with instant access to payment status, investment performance, and historical distribution data.
Self-Service Payment Status Tracking
Investors can check payment status (pending, settled, failed) without contacting your team
Complete Distribution Records
Full payment history and account statements available to investors at any time for exporting tax reporting statements.
Investors View Live Investment Performance Data
Real-time NAV, IRR, equity multiple, and cash-on-cash returns accessible in investor portals and can be configured to show or hide specific metrics based on your reporting preferences.
Create professional distribution communications with live performance metrics and systematic investor notifications.
Customizable Distribution Templates
Embed performance data directly in distribution notifications for each investor with custom fields and pre-built templates.
Instant Distribution Notifications
Branded distribution emails with payment details and transaction IDs sent automatically, keeping investors updated in real time.
Payment Issue Resolution
Automated retry systems and balance management when ACH transfers fail due to account issues or insufficient funds.
All payments use bank-level encryption and verified payment entities. Funds are processed through regulated financial partners with full audit trails and compliance documentation for every transaction.
Yes. The system handles multi-tier waterfalls with preferred returns, catch-up provisions, and varying profit splits. You can also create custom distributions for special situations outside standard waterfall calculations.
Failed payments are automatically moved to your platform balance, investors are notified of the issue, and you can retry the payment once they resolve their banking issue. Complete tracking shows failure reasons and resolution status.
Create custom single-investor distributions for special situations like partial distributions, catch-up payments, or investor-specific adjustments while maintaining complete audit trails.
Distribution data automatically integrates with our Tax Services team for accurate K-1 generation. Every distribution is categorized (operating income, return of capital, gain from sale) and tracked for compliant tax reporting.
Experience our demo and learn how SponsorCloud will enhance every aspect of your business