Fleming Fund Services
Fleming Fund Services is a Maryland-based CPA firm founded in 1999 providing fund accounting, administration, outsourced CFO, and advisory services exclusively to alternative investment funds, including hedge funds, commodity pools, and private equity vehicles.
- Company typePrivate
- Founded1999
- HeadquartersBel Air, United States
- Headcount11–50
- GTM typeB2B
- OfferingServices
What Fleming Fund Services does
Fleming Fund Services (FFS), operating under the legal name Fleming Financial Services, Inc., is a Maryland-based professional corporation founded in 1999 by Russell A. Fleming that provides accounting, fund administration, and advisory services exclusively to the alternative investment management industry. The firm operates as a registered CPA practice with two offices - its Bel Air, Maryland headquarters at 514 South Main Street and a Richmond, Virginia regional office at 3006 River Road West (Goochland) headed by Managing Partner John Lentz - and a 40+ person team structured around six integrated service lines: Fund Accounting and Administration, Back Office Accounting Services, Outsourced CFO Services, Consulting Services, GAAP Financial Statement Preparation, and Tax Return Preparation.
FFS serves alternative investment vehicles including hedge funds, funds of funds, commodity pools, private equity real estate funds, and cryptocurrency funds, with client work spanning investor account statements, balance sheet/income statement preparation, portfolio reconciliations, fee calculations, performance allocations, AML compliance, NFA/SEC regulatory reporting, audit coordination, GAAP financial statement preparation, and Form 1065/K-1 tax filing. The firm's core technology stack is built on Dynamo Software for partnership accounting, CRM, and customized investor portal communications, supplemented by Eagle Investment Systems for shadow accounting and ProSystem tax software. Operational scale includes preparation of over 175 sets of GAAP-compliant financial statements annually under the direction of Director Jennifer Stefano.
The business operates on a relationship-driven B2B professional services model with customized, quote-based engagements and multi-year contracts typical of fund administration work. Customer acquisition relies primarily on industry reputation, professional association affiliations (American Institute of Certified Public Accountants, Maryland Association of Certified Public Accountants), and referral networks with independent auditors, attorneys, and prime brokers. The firm is privately held by its founding partners with no institutional capital - Russell A. Fleming (Founder & Partner) and Scott Dagostin (Managing Partner & President, joined 2002) lead the partnership, with no parent company, PE/VC backing, M&A activity, or public ownership structure disclosed in source data. Operating geographies are limited to the United States, with the firm concentrated in the Mid-Atlantic and Virginia markets.
Fleming Fund Services firmographics
Firmographics- Name
- Fleming Fund Services
- Legal name
- Fleming Financial Services, Inc.
- Website
- https://flemingfundservices.com
- Company type
- Private
- Founded year
- 1999
- Operating status
- Operating
- Headcount range
- 11–50 employees
- Short description
- Fleming Fund Services is a Maryland-based CPA firm founded in 1999 providing fund accounting, administration, outsourced CFO, and advisory services exclusively to alternative investment funds, including hedge funds, commodity pools, and private equity vehicles.
- Ownership category
- akta.pro rank
Where Fleming Fund Services is headquartered
LocationHeadquarters
- HQ city
- Bel Air
- HQ country
- United States
- HQ region
- North America
Offices2 records
Markets served
Fleming Fund Services business model
Business model- GTM type
- B2B
- Offering type
- Services
- Cost components
- Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure
Revenue model
- Fund Accounting and Administration: Independent administration and accounting services to alternative investment funds including investor account statements, balance sheet/income statement preparation, portfolio reconciliations, fee calculations, performance allocations, and regulatory reporting
- Back Office Accounting Services: Tailored back office accounting services for funds not administered by FFS, including analytical review, approval of monthly accounting, investor statement analysis, and audit coordination
- Outsourced CFO Services: Day-to-day CFO tasks for fund sponsor management companies including cash control, bill payment, payroll, full books and records, operating budgets, and reporting
- Consulting Services: Business and fund operations consultation, tax planning, fund formation, due diligence, valuation models, waterfall calculations, and business structure guidance
- Financial Statement Preparation: CPA firm preparing fund financial statements with full GAAP-compliant disclosures, notes, and audit opinion integration
- Tax Return Preparation: Tax services including Form 1065, state income tax returns, Schedule K-1 preparation and distribution to investors
Pricing tiers
| Model | Billing | Price |
|---|---|---|
| Other | Multi-year contract | Customized service packages based on client needs |
Go-to-market motion1 record
Distribution channels1 record
Marketing channels3 records
Fleming Fund Services product offering
Product offeringCore offering
Fleming Fund Services is a CPA professional corporation that provides comprehensive accounting, administration, and advisory services to alternative investment funds (hedge funds, funds of funds, commodity pools, and private equity funds) and their managers. Core deliverables include investor account statements, NAV calculations, performance and fee allocations, independent control of cash movements, GAAP financial statement preparation, tax return preparation (Form 1065, K-1s), outsourced CFO functions for fund sponsors, and consulting on fund formation and operations.
Product overview
Fleming Fund Services (FFS) is a professional corporation providing comprehensive accounting, administration, and advisory services exclusively to the alternative investment management industry. The firm operates as a single-platform service offering with six integrated service lines: Fund Accounting and Administration (core NAV and investor servicing), Back Office Accounting Services (shadow accounting and validation), Outsourced CFO Services (management company finance functions), Consulting Services (fund formation, tax planning, and operational advisory), Financial Statement Preparation (GAAP financial statements and disclosures), and Tax Return Preparation (Form 1065 and K-1 distributions). Services are customized to client size, complexity, and internal resources, with specialization in hedge funds, commodity pools, private equity real estate funds, and cryptocurrency funds.
Differentiator
Problem solved
Functional benefit
Products and services
- Fund Accounting and Administration Independent administration and accounting services for alternative investment funds, including investor account statements, balance sheets, income statements, general ledger maintenance, portfolio reconciliations, fee calculations, performance allocations, inception-to-date performance reporting, third-party cash control, subscriptions/redemptions processing, AML compliance, investor communications, audit and tax coordination, and assistance with NFA/SEC regulatory reporting.
- Back Office Accounting Services Tailored back office accounting for funds not administered by FFS, including analytical review and approval of monthly accounting, portfolio valuations, investor allocations, fee determinations, gross/net return estimates, investor statement approval, disbursement approvals, and preparation of GAAP financial statements and tax estimates.
- Outsourced CFO Services Chief Financial Officer services for fund sponsor management companies, encompassing cash control and bill payment, payroll management, full books and records maintenance, operating budget development, monthly and quarterly reporting, audit and tax coordination, and ongoing business, accounting, and operating guidance.
- Consulting Services Advisory services covering business and fund operations, tax planning and compliance, U.S. and offshore fund formation, professional service provider referrals, due diligence on contemplated investments, selling agent/broker payment calculations, automated feeds to custodians and brokers, daily trade reconciliation, waterfall calculation and independent verification, valuation models, and overall business operations and structure.
- Financial Statement Preparation CPA-provided preparation of fund financial statements under GAAP, including full note disclosures, recent accounting pronouncements, financial highlights, and investment look-through disclosures. Offered both as part of standard administration engagements and on a stand-alone basis to non-administration clients.
- Tax Return Preparation Tax services for alternative investment funds including taxable income analysis, book-to-tax difference identification, investor allocation, Form 1065 preparation, state income tax return preparation, and Schedule K-1 preparation and distribution to investors.
Quantifiable outcome
- Prepares over 175 sets of financial statements annually
- +1 more outcomes
Companies that use Fleming Fund Services
Customer profileNamed customers4 records
Segments4 records
Ideal customer profiles3 records
Fleming Fund Services technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
Feature3 records
Fleming Fund Services partnerships and signals
Strategic signalPartnerships
One partnership is on record.
- HedgeCo WebsitesminorWebsite platform provider powering Fleming Fund Services' corporate website
Scale indicators3 records
Recent moves6 records
Expansion highlights5 records
Fleming Fund Services competitors and assessment
Company assessmentBroad incumbents
- SS&C Technologies (GlobeOp): Global fund administration and middle-office services provider serving hedge funds, PE, and credit funds at scale. Directly comparable to FFS's core fund accounting/administration offering but with significantly larger scale and proprietary technology.
- Trident Trust: Global provider of fund administration, corporate, and trust services with strong alternative investment fund coverage. Comparable to FFS as a competing fund administrator in the alternative investment space, though broader in geographic and service scope.
- Citco Fund Services: One of the world's largest independent fund administrators providing NAV, financial reporting, and investor services to hedge funds, PE, and real estate funds globally. Compares to FFS as a much larger incumbent offering similar fund accounting and administration services across alternative investments.
- Apex Group: Large global financial services provider offering fund administration, custody, depositary, and middle-office services across alternative investments. Comparable to FFS as a competing fund administrator but with substantially broader geographic and service line footprint.
- BNP Paribas Fund Administration: Large bank-affiliated fund administration provider (formerly Credit Suisse Fund Administration and Fortis Prime Fund Solutions) offering NAV calculation, financial reporting, and investor services. Comparable to FFS in fund accounting services but at much greater scale and as part of a global banking franchise.
Direct peers
- Maitland Administration: Mid-sized fund administrator (formerly Admiral Fund Administration) specializing in alternative investment fund accounting and administration. Directly comparable to FFS given several FFS professionals came from Maitland, and both serve hedge fund, PE, and managed futures clients with similar service models.
- Circle Partners: Boutique fund administrator serving hedge funds and private equity funds with NAV calculation, investor reporting, and fund accounting services. Comparable to FFS as a similarly sized specialist competing in the same mid-market alternative investment segment.
- Opus Fund Services: Mid-market fund administrator providing accounting, administration, and reporting services to hedge funds and alternative investment vehicles. Closely comparable to FFS in target market, service offering, and boutique positioning toward emerging and mid-sized fund managers.
- NAV Fund Administration: Specialist fund administrator providing accounting, reporting, and investor services primarily to hedge funds. Comparable to FFS given similar boutique positioning, target client base (mid-market hedge funds), and emphasis on specialized alternative investment accounting.
Emerging players
- FundCount: Technology-driven fund accounting and investor reporting platform serving hedge funds and family offices. Adjacent competitor to FFS, representing the tech-enabled model that pressures traditional manual fund administration through automation.
Market position
Strengths4 records
Weaknesses4 records
Competitive moat5 records
Key risks5 records
Key highlights6 records
Customer concentration
Fleming Fund Services social profiles
Digital presenceFleming Fund Services financial estimates
Financial estimateRevenue estimate
Valuation estimate
Fleming Fund Services leadership team
Management profileNumber of profiles
Profiles9 records
Fleming Fund Services funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
Fleming Fund Services M&A and investment
M&A and investmentM&A
Investments
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about Fleming Fund Services
What does Fleming Fund Services do?
Fleming Fund Services is a CPA professional corporation that provides comprehensive accounting, administration, and advisory services to alternative investment funds (hedge funds, funds of funds, commodity pools, and private equity funds) and their managers. Core deliverables include investor account statements, NAV calculations, performance and fee allocations, independent control of cash movements, GAAP financial statement preparation, tax return preparation (Form 1065, K-1s), outsourced CFO functions for fund sponsors, and consulting on fund formation and operations.
Is Fleming Fund Services a public or private company?
Fleming Fund Services is a private company. It is classified as founder individual operated bootstrapped and is currently operating.
When was Fleming Fund Services founded?
Fleming Fund Services was founded in 1999. It employs 11 to 50 people.
Where is Fleming Fund Services based?
Fleming Fund Services is headquartered in Bel Air, United States, in the North America region.
How does Fleming Fund Services make money?
Six revenue lines are on record. Fund Accounting and Administration is the primary driver. The others are back Office Accounting Services, outsourced CFO Services, consulting Services, financial Statement Preparation and tax Return Preparation.
Who are Fleming Fund Services's main competitors?
Broad incumbents on record are SS&C Technologies (GlobeOp), Trident Trust, Citco Fund Services, Apex Group and BNP Paribas Fund Administration. Direct peers are Maitland Administration, Circle Partners, Opus Fund Services and NAV Fund Administration. FundCount is listed as an emerging player.
Does Fleming Fund Services have an API?
No public API is recorded for Fleming Fund Services.