Business Account

Deploy digital-asset rewards instantly — no integration

Ideal for exchanges, wallets and fintechs who want to reconcile daily
flows and manage allocations without touching the API.

Easily Accessible Web Account

Allocate & 
rebalance

in real time; export transactions and performance.

Track rewards & 
P&L

Daily NAV with audit friendly reporting,  export transactions and performance.

Multi-entity

Create sub accounts to segment by client, desk, or business line.

Scalable

Flexible architecture to move 
to automation with fully 
customizable API.

Capabilities

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Wallet
Whitelists

Define trusted destinations to restrict withdrawals and mitigate risk.

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Role-Based Permissions

Assign granular access roles (Owner, Fund Manager, Viewer) for internal governance and separation of duties.

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Multi-User
Access

Manage your treasury as a team with auditable activity tracking.

Security

Login protected with two-factor authentication (2FA) using SMS and OTP with Google Authenticator or compatible.

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Reporting

Daily (non-audited) NAV per product and per end-client, live P&L, VaR / draw-down.

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Monthly Statement

Downloadable, audit-ready performance statements including allocation summaries, APYs, and transaction-level activity for full transparency.

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How it works

Four-step process diagram: 01 Onboarding - proceed through KYC and KYB process; 02 Sign in & verify - enable 2FA and add team members/roles; 03 Configure - choose assets/networks, set withdrawal windows, create wallet whitelists; 04 Allocate & monitor - move balances into selected vaults, view rewards and statements, export reports.Large white dashed circle on a transparent background.

Reporting & Statements

Dashboards

balances, accrued rewards, realized P&L, allocation mix.

Daily views

NAV/share, performance by product and by client/entity.

Exports

CSV/JSON for transactions
and holdings.

Statements

monthly PDFs with methodology notes and disclosures.