SERVICES INCLUDE:
- Daily Valuation of Participant accounts
- Daily Processing of Plan & Participant transactions
- Prepare participant account statements
- Prepare a summary of participant activity rolled up to plan sponsor level
- Participant, Sponsor & Advisor web access
- Maintain participant accounts for deposits, withdrawals earnings, & participant direct participant changes
- Allocate contributions deposited to participant accounts pursuant participant investment elections
- Initiate buys & sells orders for transactions
- Prepare a summary of Plan Assets and Income Statement for Plan