Operating system for tokenized products

Built with the Torque Flow
Fund Management
Keep fund reports, documents, investor updates, and day-to-day administration in one workspace.
Investor Portal
Give investors one place to complete onboarding, invest, track their holdings, and access documents.
Issuer Portal
Create offerings, manage investor subscriptions, and coordinate token issuance from one workspace.
The products
Everything your financial product needs.
Coordinate the full lifecycle in one operating system, from investor eligibility and settlement to ownership, servicing and distribution.
Connect product and transaction state, event history, approvals and recovery actions. Keep every team working from the same financial record.
Subscription · TX-123
Legally Confirmed- Identity verified
- Evidence recorded
- Eligibility approved
- Policy applied
- Subscription accepted
- Issuer approved
- Funds reserved
- Cash confirmed
- Asset issued
- Delivery confirmed
- Cash settled
- Provider confirmed
- Legal register updated
- Ownership recorded
- Reconciled
- Records aligned
Each transition retains its provider, evidence, approval and timestamp.
Your financial stack. Working together.
One instrument. One operational truth.
Every transaction has a complete story
Torque Flow connects each action to its outcome, supporting a continuous record from subscription through reconciliation.
Every exception has a next step
When providers disagree or an action fails, keep completed work, outstanding obligations and recovery actions visible to the team.
Your product, from launch to ongoing operations.
Subscriptions, ownership
Connect investor eligibility, subscription approval, funding and ownership records in one workflow.
Payments and servicing
Coordinate payment schedules, investor entitlements, notices and ongoing obligations around your product’s terms.
Changes and reporting
Track approvals, amendments and exceptions, with a clear record of completed work and outstanding obligations.
Less manual work. More operational clarity.
Keep payments, investor entitlements and ownership records consistent throughout the life of your product.
One shared record
across the product lifecycle
Clear accountability
for every operational exception
Less reconciliation
between disconnected systems
Traceable decisions
with evidence and approval history
Provider flexibility
within your existing financial stack




