Issuer Portal

Manage the offering and the obligations that follow.
Prepare the offering together
Organize the product terms, documents and launch requirements around the same offering. Give the responsible teams visibility into the decisions and approvals still needed before investors can participate.
Follow subscriptions through completion
Keep investor checks, acceptance decisions, funding and asset delivery connected. Distinguish an approved application from a completed investment, and identify the team responsible for anything outstanding.
Stay accountable after launch
Connect investor records to recurring payments, repayment dates and product updates. Share the approved offering information with distribution partners while keeping the issuer’s obligations visible throughout the product’s life.
The Four Pillars of Tokenized Asset Management
Structuring
Define instruments, legal wrappers, terms, and transfer rules - bonds, Swiss DLT Act tokens, private credit, and structured products.
Compliance
Automate KYC, KYB, accreditation, sanctions, and wallet whitelisting for qualified and professional investors.
Servicing
Bookbuild, escrow-fund, settle, pay coupons, and repay maturity - end to end, with smart-contract automation.
Distribution
Push instruments to your marketplace, partner venues, stablecoin yield products, and ATSs - with full real-time analytics.



