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Admin Portal

Complete Control Over Your Tokenized Assets

Manage the entire asset tokenization lifecycle - from token creation and NAV calculation to investor management, compliance monitoring, and yield distribution - all from one powerful command centre.

admin.gulftoken.com
Admin Portal Dashboard - Operational metrics, compliance status, reserve balances, activity feed

Enterprise-Grade Administration Tools

Complete visibility and control over your tokenization operations

Real-Time Operations View

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.

Live metrics Compliance alerts Reserve monitoring
Operational Dashboard

Multi-Token Asset Management

Create and configure single-asset tokens or diversified pool tokens. Set subscription parameters, redemption notice periods, trading permissions, and fee structures for each token.

Single-asset and pool tokens Configurable parameters Fee management
Token Configuration

Automated NAV Calculation

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.

Daily calculation Audit trails Maker-checker workflow
NAV Management

Streamlined Investor Transactions

Process investor subscriptions and redemptions with configurable notice periods and approval workflows. Manage liquidity gates, queue positions, and settlement timing.

Notice period enforcement Liquidity gates Queue management
Subscription Processing

Exchange and OTC Oversight

Monitor exchange order book activity, approve OTC block trades, manage settlement cycles, and configure trading limits. Optional market making capabilities to bootstrap liquidity.

Order monitoring OTC approval Settlement management
Trading and Settlement Management

Automated Income Distribution

Configure distribution periods, calculate pro-rata allocations, and execute batch payments to investor fiat wallets. Full audit trail and tax reporting support.

Period configuration Batch processing Tax reporting
Yield Distribution Management

Card Programme Management

Oversee the prepaid card programme including card products, transaction monitoring, clearing reconciliation, and fraud management. Configure spending limits and card controls.

Card product configuration Transaction monitoring Fraud management
Card Programme Dashboard

Neobank Features Administration

Manage savings pot configurations, round-up settings, salary sorter rules, and referral programme parameters. Monitor customer tier assignments and spending analytics.

Savings pot oversight Referral programme config Customer tier management
Neobank Features Administration

Operational Efficiency

Automate manual processes throughout

Risk Mitigation

Maker-checker workflows throughout

Regulatory Confidence

Multi-Jurisdiction compliant from day one

Transform Your Asset Operations

Discover how the Admin Portal can streamline your tokenization operations. Request a personalised demonstration.

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