
in real time; export transactions and performance.
Daily NAV with audit friendly reporting, export transactions and performance.
Create sub accounts to segment by client, desk, or business line.
Flexible architecture to move to automation with fully customizable API.

Define trusted destinations to restrict withdrawals and mitigate risk.

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

Manage your treasury as a team with auditable activity tracking.
Login protected with two-factor authentication (2FA) using SMS and OTP with Google Authenticator or compatible.

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

Downloadable, audit-ready performance statements including allocation summaries, APYs, and transaction-level activity for full transparency.
Embed a single React component and render inside your app.
Coinchange manages onboarding, contracts, liquidity, and compliance.
Works with Fireblocks MPC or non-custodial wallets.
Partners integrate the widget to deliver institutional-grade yield within their existing user experience.








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.