NavigarCapital investor process operations

Investor Process

Private Participation Workflow from Onboarding to Monthly Reporting

NavigarCapital follows a structured process designed for disciplined investor onboarding, controlled allocation, and transparent lifecycle reporting.

Process Timeline

Six-step path from account creation to active monitoring.

01

Account Creation

Investor creates a secure portal account with core identity and contact details.

02

Onboarding Review

Private access review and suitability checks are completed before opportunity access.

03

Opportunity Matching

Approved investors are matched to selected maritime allocations as they become available.

04

Allocation Activation

Investment is recorded with a defined start date and lifecycle reporting structure.

05

Monthly Profit Posting

Profit entries are posted on cycle-aligned dates under administrative control checkpoints.

06

Withdrawal and Documents

Investors request withdrawals in-portal and access tax documents once published.

Eligibility and Access

Private onboarding with controlled participation.

Access is provided through a private model rather than public fund enrollment. Opportunity participation may depend on suitability, jurisdictional factors, and internal allocation policy.

Private-access onboarding workflow Participation limits by opportunity Structured acceptance and assignment

Allocation Workflow

How approved investors move into active positions.

After approval, eligible participants are assigned to suitable vessel opportunities with documented start dates and reporting cycle alignment.

Opportunity-level assignment model Asset-backed allocation records Cycle-based reporting setup

Portal Experience

What investors can manage from the dashboard.

Portfolio Overview

View assigned investments, asset type, start date, and position status.

Profit Ledger

Track monthly profit entries with date-level visibility and historical records.

Withdrawals

Submit requests and monitor pending, approved, or declined status in one workflow.

Tax Documents

Access uploaded annual documents directly from the secure investor portal.

Profile and Support

Maintain account profile and contact support@navigarcapital.com for updates.

Audit-Friendly Records

All key account actions remain visible for reporting continuity and review.

Governance and Control

Administrative checkpoints designed for consistency and discipline.

Payout-sensitive events and reporting actions are controlled through defined admin workflows to preserve operational integrity.

Profit postings: cycle-date aligned, admin-logged entries.
Withdrawal workflow: request, review, approval/decline, and status tracking.
Document controls: tax files uploaded through role-based administration.
Private structure: limited-access participation model, not a public fund.

Next Action

Begin private onboarding and access upcoming opportunities.

Start your account setup to enter the onboarding queue and receive updates on available allocations.