How it works
A disciplined workflow, from mandate to settlement.
Every transaction moves through a structured, auditable lifecycle. Nothing is left to interpretation.
01
Institutional onboarding
KYC, AML, source of funds and beneficial ownership verified for every counterparty.
02
Deal structuring
Terms, notional, custodian, jurisdiction and release conditions codified in a legal wrapper.
03
Funding into escrow
Assets are placed in segregated, bankruptcy-remote custody under a qualified custodian.
04
Verification of delivery
Independent verification of counterparty performance against the pre-agreed conditions.
05
Release & settlement
Programmatic release with human oversight. Full audit trail is delivered to both parties.