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Managed by a team of experienced professionals with a successful history of tax lien investing since 1988, TLM Funds has developed proprietary systems for data gathering and investment analysis on a scaled basis, permitting efficient underwriting and bid execution in multiple jurisdictions at the same time.

Once tax lien portfolios are acquired, TLM Funds’ resources support the complete and thorough management of our tax lien investments, including scheduled reporting to investors, tracking of redemptions, payment of subsequent taxes on unredeemed liens, control of legal matters, including foreclosure and workout, property management and disposition, and resale of tax lien portfolios to other investors.

TLM Funds benefits from strategic relationships with its institutional partners: two rated servicers act as custodians to the funds under management, a highly regarded private equity firm provides accounting and back-office support, a first-tier commercial bank provides credit facilities and institutional oversight to the funds, and a Manhattan accounting firm serves as the funds’ auditor. The strength of these institutional relationships enables TLM Funds to track and monitor its tax liens, as well as to adhere to established investment guidelines.  

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