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TEN-2627-047 (PA2023) – Asset Allocation System

National Employment Savings Trust (NEST) Corporation

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Key details

Contracting authority
National Employment Savings Trust (NEST) Corporation
Public authority - sub-central government
Region
London
Delivery: United Kingdom, United Kingdom
Contract value
£7,300,000ex VAT
£8,740,000 inc VAT
Deadline
7 October 2026
Enquiry deadline
7 September 2026(questions / clarifications)
Award decision
2 December 2026(estimated)
Published
25 August 2026

Procurement

Contract period
31 December 2026 - 30 December 2031
5 years
Possible extension to 31 December 2034
Procedure type
Competitive flexible procedure
CPV classifications
  • 72268000 Software supply services
  • 72263000 Software implementation services
  • 72261000 Software support services
  • 72227000 Software integration consultancy services

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Description

Nest is seeking to appoint one supplier to provide, implement and support one hosted software-as-a-service solution for Nest Invest, comprising two mandatory capabilities: Asset Allocation and Total Portfolio View.

The Asset Allocation capability must support Nest Invest’s multi-level fund-of-funds structure and its controlled, model-driven asset allocation process. This includes strategic and tactical asset allocation, portfolio modelling and optimisation, configurable targets, limits and tolerances, portfolio rebalancing, asset restrictions, workflow and approval controls, auditability, scenario analysis and the generation of implementation instructions or outputs for downstream parties.

The Total Portfolio View capability must provide a consolidated view of Nest Invest’s portfolio across public and private assets, including positions, exposures, performance and look-through information where available. It must support aggregation and analysis across Nest Invest’s fund structure.

The supplier will be required to provide software licensing or subscription services; implementation and configuration; integration with retained data sources and Nest Invest’s planned cloud data platform through appropriate data interfaces and APIs; transition and migration from the incumbent IRP solution; testing and user acceptance support; training and documentation; go-live and transition support; and ongoing hosting, maintenance, technical support and product-roadmap services.

The solution must be configured for Nest Invest and supplied electronically as a hosted service. Investment and portfolio data will be received from retained sources, including the fund administrator and custodian, and the solution must generate the required information, reporting and implementation outputs for Nest Invest and its downstream processes.

The contract will be awarded to one supplier for an initial term of five years. Nest may extend the contract for an additional two years and subsequently for a further one year, giving a maximum potential term of eight years. The contract does not guarantee any minimum volume of services or minimum expenditure.

Contact

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10 South Colonnade, London, E14 4PU
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Identifiers

Buyer reference
TEN-2627-047 (PA2023)
Notice ID
080903-2026
OCID
ocds-h6vhtk-06eafd

External ID: fts-ocds-h6vhtk-06eafd • Added 24 August 2026