Manage the entire asset tokenisation lifecycle - from token creation and NAV calculation to investor management, compliance monitoring, and yield distribution - all from one powerful command centre.
Complete visibility and control over your tokenisation operations
Monitor platform health at a glance - total users, active assets, pending KYC, compliance status, and reserve balances. Drill down into any metric for detailed analysis.
Create and configure single-asset tokens or diversified pool tokens. Set subscription parameters, redemption notice periods, trading permissions, and fee structures for each token.
Calculate and publish Net Asset Value daily with full audit trails. View component breakdowns, valuation sources, and historical NAV trends. Maker-checker approval workflow ensures accuracy.
Process investor subscriptions and redemptions with configurable notice periods and approval workflows. Manage liquidity gates, queue positions, and settlement timing.
Monitor exchange order book activity, approve OTC block trades, manage settlement cycles, and configure trading limits. Optional market making capabilities to bootstrap liquidity.
Configure distribution periods, calculate pro-rata allocations, and execute batch payments to investor fiat wallets. Full audit trail and tax reporting support.
Automate manual processes throughout
Maker-checker workflows throughout
VARA 2.0 compliant from day one
Discover how the Admin Portal can streamline your tokenisation operations. Request a personalised demonstration.
Request Demo