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Investor & Operations Commands

4 commands for investor management and fund operations.

Subscription Processing Pipeline

/fund investor-onboard

Guides the onboarding process for a new limited partner — subscription document review, KYC checklist, entity mapping, and FATCA/CRS classification.

/fund investor-onboard [investor]

/fund ddq-respond

Drafts responses to a Due Diligence Questionnaire (DDQ) using information from the fund's data room and existing reviews.

/fund ddq-respond path/to/ddq.pdf

Output: drafts/DDQ-RESPONSE-[fund]-[investor]-[date].md

/fund entity-map

Maps the fund's entity structure (GP, LP, carried interest vehicle, parallel funds, co-investment vehicles) into a structured diagram and table.

/fund entity-map

Output: analysis/ENTITY-MAP-[fund]-[date].md

/fund data-room

Organises and indexes the fund's data room contents, producing a structured index with document status and gaps.

/fund data-room

Output: analysis/DATA-ROOM-INDEX-[fund]-[date].md

T1 (skills + CLI) and T2 (vault template) are MIT licensed.