Issuer Console
Run offerings, compliance and investor servicing from one console.
What it does
The issuer’s counterpart to the investor portal. An offering is configured, its compliance rules set, its investors reviewed and admitted, its register maintained and its distributions run — from one place, rather than from a spreadsheet alongside three vendor dashboards. Every consequential action is an authorised action, so what the console permits reflects the permissions the operator actually holds. In development.
How it works
The Issuer Console is where the operator works. Asset Lifecycle Management holds the register beneath it, and consequential changes are prepared by the Safe Transaction Builder rather than executed directly.
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Step 1 of 3: Configure. An offering is set up with its terms, its compliance rules and its documents.
Key capabilities
Configure an offering
Terms, eligibility and documents are set once and enforced thereafter.
Admit and review investors
Admission is a reviewed decision with the evidence attached to it.
Maintain the register
The register the console shows is the register the contracts enforce.
Run distributions
Payments are initiated from the same system that holds the entitlements.