Introduction to ProLinkAIM Ownership Structure
Ownership Structure functionality provides the ability to view current and prior ownership schedules for one or more deal or fund entities. Each schedule contains an Owner Entity and one or more Owners of that entity. Each Owner has an Owner Role separate from their Deal Role and a unique identification number that ties the owner to the deal or owned entity (NMTC).
The data captured in the Ownership Schedule is used throughout the application. Tax Credit Benefits, Adjusters, Financials, and Capital Contributions are among the things dependent upon the Ownership Schedule at the deal level. CRA allocations, equity schedules, and consents are among the things dependent upon the Ownership Schedule at the fund level.