Client Accounts overview

Take a tour of Client Accounts

See how easy it is to:

  • Complete transactions and update your clients’ accounts
  • Receive updates and reminders in your personalized message center
  • Access statements and tax forms 

Completing transactions in Client Accounts

Learn how to:

  • Securely complete distributions, exchanges and purchases
  • Send distributions via Automated Clearing House (ACH) to a client’s bank account
  • Expedite distribution checks

Get the most out of Client Accounts

Explore the benefits of Client Accounts and see how it's different from DST Vision.

Tell me more

Discover which transactions and tasks you can complete in Client Accounts versus DST Vision.

Learn more

Sign up for a Vision ID to gain access to Client Accounts.

How to sign up

Contact us

Have questions or need additional support?
Contact us 8:00 a.m. to 7:00 p.m. ET, Monday through Friday.

For financial professionals only. Not for use with the public.

All Capital Group trademarks mentioned are owned by The Capital Group Companies, Inc., an affiliated company or fund. All other company and product names mentioned are the property of their respective companies.

Use of this website is intended for U.S. residents only.

The guidelines and procedures provided in the Account Resource Center may not apply to networked accounts or accounts not directly held by American Funds. The guidelines and procedures provided also apply only to those retirement accounts or Coverdell ESAs invested in American Funds with Capital Bank and Trust Company (CB&T) as custodian. The guidelines and procedures provided in the Account Resource Center do not apply to plans held in our retirement plan solutions — PlanPremier, PlanPremier-TPA or RecordkeeperDirect. Information on the Account Resource Center may change periodically, and previously printed information may not be current. Please refer to capitalgroup.com for the most current information available.

Financial professionals should always contact their back office to determine if there are any restrictions on the use of American Funds products, tools, services, websites and literature.