ASSET MANAGEMENT: How It Works
Bring real estate, infrastructure, art, commodities, equity, debt and revenue-share assets into a single registry — with versioned documents and audit history from day one.
Eight asset classes supported out of the box, each with bespoke fields and document checklists.
Versioned document vault with verification, expiration alerts and download audit logging.
Bulk CSV import for portfolios with hundreds of assets, plus per-asset detail workspaces.
End-to-end SumSub-powered KYC and KYB pipelines, accreditation tier management and per-investor risk scoring — with admin override and re-submission flows.
KYC/KYB review queue with risk levels, document re-submission and expiration tracking.
Accreditation tiers for retail, qualified, accredited and institutional investors.
Issuer profile with assets, offerings, compliance and billing in one place.
Pre-tokenization readiness scoring, wizard pre-population and ERC-3643 contract deployment — across Ethereum, Cardano, Base and Solana.
Readiness score that gates offerings before they hit the T-Suite wizard.
SPV mapping captures issuing entity, jurisdiction and transfer-agent assignment.
Multi-chain deployment via Libertum’s contract registry with audit-tracked upgrades.
Real-time on-chain holder registry, concentration analytics and automated payouts — dividends, interest and rental income reconciled to chain state.
On-chain cap table refreshed live with freeze, unfreeze and force-transfer controls.
Distribution engine for dividends, interest and rental income in USDC, USDT or USD.
Stripe and Bridge.xyz rails for fiat funding, redemptions and platform fee collection.
Jurisdiction rules engine, OFAC sanctions screening and an immutable activity log covering every administrator, issuer and investor action across the platform.
Transfer restrictions including whitelist, lock-up and selling rules per offering.
Sanctions screening with OFAC SDN integration and internal blacklist management.
Immutable audit trail with searchable history and CSV export for regulators.
Trading-pair management, compliance halts and post-issuance investor servicing — closing the lifecycle loop from primary issuance to secondary liquidity.
Trading-pair operations with bid/ask, spread monitoring and halt controls.
Investor support with disputes, ticketing and impersonation for trusted operators.
Reporting with twelve built-in templates plus a custom report builder.