Ledger and reconciliation
A single source of truth across wallets, chains and venues, with automated matching and clear exception handling.
An operations, compliance and settlement engine: onboarding, reconciliation, settlement and reporting that keeps a digital-asset business auditable and in control.
A single source of truth across wallets, chains and venues, with automated matching and clear exception handling.
Balances, transactions, approvals and statements on demand, exportable for finance, audit and tax in the formats you already use.
Manage clients, accounts and entitlements at scale, with roles and approval rules configured per entity.
Operate settlement, fees and exceptions with controls, batch processing and retry logic that keep payouts moving.
A complete back-office application for your operations team, ready to use out of the box with no build on your side.
Plug reconciliation, settlement and reporting into your existing systems through one API, keeping your current tools.
One operations layer that plugs into the systems you already run, across custody, trading, banking, compliance and finance.
Custody, Embedded Wallets and external custodians.
Trading venues and liquidity providers for settlement.
On and off ramps, payment and settlement rails.
KYT, Travel Rule and sanctions-screening providers.
Export to your ledger, accounting and tax systems.
Analytics, BI and reporting pipelines via API.
Banks, exchanges, trading firms and corporate treasuries
Asset managers, funds and professional investors
Single and multi-family offices
Payment providers, processors, high-volume merchants and iGaming operators
Digital-asset-native businesses, exchanges and startups
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