Our Infrastructure
Building the operational and digital rails that connect physical precious metals to the modern financial system. Institutional-grade architecture from custody to settlement.
Architecture Overview
A multi-layered infrastructure stack designed for institutional precious metals operations.
User Layer
End users and institutional clients
Wallet & Interface
Digital wallets, APIs, and client interfaces
Operations Layer
Order management, pricing, and approvals
Treasury & Banking
Fiat coordination and settlement accounts
Bullion & Custody
Physical metal sourcing and vault custody
Digital Record Layer
On-chain records, mint/burn, and attestation
Treasury & Settlement
Coordinating fiat flows, digital asset conversion, and multi-party settlement with institutional precision.
Fiat Coordination
Multi-currency fiat management across banking partners with automated reconciliation and reporting.
Digital Asset Conversion
Seamless conversion pathways between fiat deposits and digital asset issuance with full audit trails.
Settlement Sequencing
Ordered settlement flows ensuring proper sequencing of custody confirmation, token issuance, and counterparty notification.
Counterparty Payments
Automated counterparty payment processing with configurable approval workflows and treasury oversight.
Bullion Operations
End-to-end management of physical precious metals from supplier coordination through custody and reconciliation.
Supplier Coordination
Established relationships with LBMA-accredited refineries and institutional bullion dealers for reliable sourcing.
Allocated Acquisition
All precious metals are acquired on an allocated basis with unique identifiers, serial numbers, and assay certificates.
Inventory Representation
Real-time digital representation of physical inventory positions across multiple vault locations and metal types.
Custody Alignment
Integration with institutional custodians to ensure physical holdings are accurately reflected in digital records.
Reconciliation
Systematic reconciliation processes between physical vault holdings, custodian reports, and digital asset records.
Digital Asset Layer
Purpose-built frameworks for token design, lifecycle management, and redemption handling.
Token Design Frameworks
Configurable token standards supporting multiple precious metal types, denominations, and jurisdictional requirements.
Wallet Compatibility
Broad wallet and platform compatibility ensuring seamless integration with existing institutional infrastructure.
Ledger Events
Comprehensive event logging for all token lifecycle events including issuance, transfer, redemption, and attestation.
Mint & Burn Logic
Controlled minting and burning processes tied directly to physical custody confirmations and redemption requests.
Redemption Handling
Structured redemption workflows supporting physical delivery, cash settlement, and institutional transfer options.
Operations Dashboard
Centralized operational controls providing oversight, approval workflows, and real-time monitoring across the infrastructure stack.
Order Management
Complete order lifecycle tracking from initiation through execution, settlement, and confirmation.
Pricing Oversight
Real-time pricing feeds with configurable spreads, circuit breakers, and manual override capabilities.
Manual Approvals
Role-based approval workflows for high-value transactions, new counterparties, and policy exceptions.
Audit Logs
Immutable audit logs capturing every operational action, system event, and administrative change.
Reconciliation Controls
Automated and manual reconciliation tools for verifying consistency across all system components.
Risk & Controls
Comprehensive risk management framework addressing counterparty, treasury, liquidity, and operational risks.
Counterparty Risk
Due diligence frameworks, exposure limits, and ongoing monitoring for all counterparty relationships.
Treasury Risk
Cash flow management, reserve requirements, and stress testing across multiple market scenarios.
Liquidity Handling
Liquidity monitoring and management ensuring redemption capacity and operational continuity at all times.
Pricing Controls
Multi-source price validation, deviation alerts, and circuit breaker mechanisms to prevent mispricing events.
Operational Segregation
Strict separation of client assets, operational accounts, and treasury positions with independent verification.
Discuss Infrastructure
Ready to explore how our institutional-grade infrastructure can support your precious metals operations?