Treasury
We deliver treasury services built for corporate and institutional needs—real-time liquidity management, multi-currency settlement, and programmatic treasury operations spanning fiat and tokenized assets. Our treasury functionality emphasizes capital efficiency without sacrificing segregation, control, or auditability.
Real-time position visibility, automated liquidity routing, and policy-driven rebalancing across fiat and token holdings.
Pre-trade and post-trade controls, counterparty credit assessments, exposure limits, and stress-testing tailored to institutional tolerance.
Bank connectivity, custodial reconciliation, and institutional reporting that feed treasury accounting, compliance logs, and consolidated risk dashboards.
Institutional treasuries require deterministic control of cash and capital across multiple rails. Our treasury stack removes manual reconciliations and blurred custody boundaries so finance and risk teams can measure exposure, optimize working capital, and comply with governance and audit requirements.