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.

System Architecture

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

Treasury & Settlement

Coordinating fiat flows, digital asset conversion, and multi-party settlement with institutional precision.

F

Fiat Coordination

Multi-currency fiat management across banking partners with automated reconciliation and reporting.

D

Digital Asset Conversion

Seamless conversion pathways between fiat deposits and digital asset issuance with full audit trails.

S

Settlement Sequencing

Ordered settlement flows ensuring proper sequencing of custody confirmation, token issuance, and counterparty notification.

C

Counterparty Payments

Automated counterparty payment processing with configurable approval workflows and treasury oversight.

Physical Assets

Bullion Operations

End-to-end management of physical precious metals from supplier coordination through custody and reconciliation.

S

Supplier Coordination

Established relationships with LBMA-accredited refineries and institutional bullion dealers for reliable sourcing.

A

Allocated Acquisition

All precious metals are acquired on an allocated basis with unique identifiers, serial numbers, and assay certificates.

I

Inventory Representation

Real-time digital representation of physical inventory positions across multiple vault locations and metal types.

C

Custody Alignment

Integration with institutional custodians to ensure physical holdings are accurately reflected in digital records.

R

Reconciliation

Systematic reconciliation processes between physical vault holdings, custodian reports, and digital asset records.

Digital Layer

Digital Asset Layer

Purpose-built frameworks for token design, lifecycle management, and redemption handling.

T

Token Design Frameworks

Configurable token standards supporting multiple precious metal types, denominations, and jurisdictional requirements.

W

Wallet Compatibility

Broad wallet and platform compatibility ensuring seamless integration with existing institutional infrastructure.

L

Ledger Events

Comprehensive event logging for all token lifecycle events including issuance, transfer, redemption, and attestation.

M

Mint & Burn Logic

Controlled minting and burning processes tied directly to physical custody confirmations and redemption requests.

R

Redemption Handling

Structured redemption workflows supporting physical delivery, cash settlement, and institutional transfer options.

Operations

Operations Dashboard

Centralized operational controls providing oversight, approval workflows, and real-time monitoring across the infrastructure stack.

O

Order Management

Complete order lifecycle tracking from initiation through execution, settlement, and confirmation.

P

Pricing Oversight

Real-time pricing feeds with configurable spreads, circuit breakers, and manual override capabilities.

M

Manual Approvals

Role-based approval workflows for high-value transactions, new counterparties, and policy exceptions.

A

Audit Logs

Immutable audit logs capturing every operational action, system event, and administrative change.

R

Reconciliation Controls

Automated and manual reconciliation tools for verifying consistency across all system components.

Risk Management

Risk & Controls

Comprehensive risk management framework addressing counterparty, treasury, liquidity, and operational risks.

C

Counterparty Risk

Due diligence frameworks, exposure limits, and ongoing monitoring for all counterparty relationships.

T

Treasury Risk

Cash flow management, reserve requirements, and stress testing across multiple market scenarios.

L

Liquidity Handling

Liquidity monitoring and management ensuring redemption capacity and operational continuity at all times.

P

Pricing Controls

Multi-source price validation, deviation alerts, and circuit breaker mechanisms to prevent mispricing events.

O

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?