REMIZEN FOR VENTURE CAPITAL

Separate investment activity from the work of running the fund.

Venture firms combine founder and market meetings, diligence trips, portfolio support, events, and fund operations. A useful process identifies whether employee spending relates to investing, supporting a portfolio company, fundraising, or firm overhead, then routes the record to the right partner and finance reviewer.

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These workflows illustrate operating processes and product fit, not a promise of live functionality. Confirm feature availability with Remizen; integration availability is shown from the directory.

Built around how Venture Capital teams spend.

Founder meetings generate varied costs

Travel, meals, and events can support sourcing, diligence, portfolio work, or investor relations.

Portfolio support spans companies

A partner's trip or event may benefit one portfolio company or the broader network, so the owner needs to be clear.

Small teams wear several hats

The same employee can source deals, support founders, and help raise funds, making purpose more useful than title alone.

Fund costs and firm overhead differ

A transaction's association with investing does not automatically determine its accounting or allocation treatment.

How Remizen helps Venture Capital teams

Transaction Tags

Confirm availability

Distinguish sourcing, diligence, portfolio support, fundraising, and firm operations.

Approval Chains

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Assign a partner or finance lead to review costs based on their activity and ownership.

Receipt OCR

Confirm availability

Capture evidence for travel, event, and meeting costs submitted by a small distributed team.

Accounting

Confirm availability

Prepare employee-expense records for the firm's chosen fund and operating-company accounting workflow.

A spending workflow for Venture Capital

Illustrative workflow. Automation, payment, and accounting handoffs depend on confirmed product availability and your organization's controls.

  1. Investor or platform team submits a cost

    The employee records a founder meeting, conference, diligence trip, or portfolio support activity.

  2. Activity and company context are captured

    The record identifies the startup or fund activity where relevant, with firm overhead marked separately.

  3. Partner reviews investment purpose

    The responsible partner checks the activity and whether finance should examine allocation or entity treatment.

  4. Finance reviews supporting evidence

    Finance validates the transaction record and the firm's internal coding requirements.

  5. Fund or adviser accounting handoff follows

    Approved employee costs enter the appropriate internal review rather than being treated as fund expenses by default.

Products for Venture Capital

Remizen

A workflow reference for employee expenses, investment activity, and finance review.

Common Venture Capital use cases

Organize portfolio and deal activity

Keep expenses connected to an investment, company, or internal initiative.

Structure partner expense reports

Make travel and event records easier to gather with activity context.

Integrations for Venture Capital

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Resources for Venture Capital

Related industries

Make venture-firm activity visible in expense review.

Distinguish founder, portfolio, investment, and operating costs before finance determines their treatment.

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