ASSET MANAGEMENT: How It Works

How the Asset Management Platform Operates Tokenized RWA

From asset onboarding to secondary-market settlement, the Asset Management Platform unifies every operational surface an institutional issuer or fund administrator needs — natively bridged to T-Suite tokenization.

Asset Onboarding

Bring real estate, infrastructure, art, commodities, equity, debt and revenue-share assets into a single registry — with versioned documents and audit history from day one.

**Eight asset classes** supported out of the box, each with bespoke fields and document checklists.

Eight asset classes supported out of the box, each with bespoke fields and document checklists.

**Versioned document vault** with verification, expiration alerts and download audit logging.

Versioned document vault with verification, expiration alerts and download audit logging.

**Bulk CSV import** for portfolios with hundreds of assets, plus per-asset detail workspaces.

Bulk CSV import for portfolios with hundreds of assets, plus per-asset detail workspaces.

Asset Onboarding
Valuation & NAV

Multi-method valuation workflow with appraiser assignment, approval gates and dispute resolution — feeding NAV into both the cap table and on-chain offerings.

**Valuation history** with method (appraisal, DCF, comparables) and approval audit trail.

Valuation history with method (appraisal, DCF, comparables) and approval audit trail.

**Revaluation requests** with dispute and re-approval workflow per asset.

Revaluation requests with dispute and re-approval workflow per asset.

**NAV sync** flows to T-Suite offerings and reconciles with on-chain holder balances.

NAV sync flows to T-Suite offerings and reconciles with on-chain holder balances.

Valuation & NAV
Issuer & Investor Onboarding

End-to-end SumSub-powered KYC and KYB pipelines, accreditation tier management and per-investor risk scoring — with admin override and re-submission flows.

**KYC/KYB review queue** with risk levels, document re-submission and expiration tracking.

KYC/KYB review queue with risk levels, document re-submission and expiration tracking.

**Accreditation tiers** for retail, qualified, accredited and institutional investors.

Accreditation tiers for retail, qualified, accredited and institutional investors.

**Issuer profile** with assets, offerings, compliance and billing in one place.

Issuer profile with assets, offerings, compliance and billing in one place.

Issuer & Investor Onboarding
Tokenization Bridge

Pre-tokenization readiness scoring, wizard pre-population and ERC-3643 contract deployment — across Ethereum, Cardano, Base and Solana.

**Readiness score** that gates offerings before they hit the T-Suite wizard.

Readiness score that gates offerings before they hit the T-Suite wizard.

**SPV mapping** captures issuing entity, jurisdiction and transfer-agent assignment.

SPV mapping captures issuing entity, jurisdiction and transfer-agent assignment.

**Multi-chain deployment** via Libertum's contract registry with audit-tracked upgrades.

Multi-chain deployment via Libertum’s contract registry with audit-tracked upgrades.

Tokenization Bridge
Cap Table & Distributions

Real-time on-chain holder registry, concentration analytics and automated payouts — dividends, interest and rental income reconciled to chain state.

**On-chain cap table** refreshed live with freeze, unfreeze and force-transfer controls.

On-chain cap table refreshed live with freeze, unfreeze and force-transfer controls.

**Distribution engine** for dividends, interest and rental income in USDC, USDT or USD.

Distribution engine for dividends, interest and rental income in USDC, USDT or USD.

**Stripe and Bridge.xyz** rails for fiat funding, redemptions and platform fee collection.

Stripe and Bridge.xyz rails for fiat funding, redemptions and platform fee collection.

Cap Table & Distributions
Compliance & Audit

Jurisdiction rules engine, OFAC sanctions screening and an immutable activity log covering every administrator, issuer and investor action across the platform.

**Transfer restrictions** including whitelist, lock-up and selling rules per offering.

Transfer restrictions including whitelist, lock-up and selling rules per offering.

**Sanctions screening** with OFAC SDN integration and internal blacklist management.

Sanctions screening with OFAC SDN integration and internal blacklist management.

**Immutable audit trail** with searchable history and CSV export for regulators.

Immutable audit trail with searchable history and CSV export for regulators.

Compliance & Audit
Secondary Market & Servicing

Trading-pair management, compliance halts and post-issuance investor servicing — closing the lifecycle loop from primary issuance to secondary liquidity.

**Trading-pair operations** with bid/ask, spread monitoring and halt controls.

Trading-pair operations with bid/ask, spread monitoring and halt controls.

**Investor support** with disputes, ticketing and impersonation for trusted operators.

Investor support with disputes, ticketing and impersonation for trusted operators.

**Reporting** with twelve built-in templates plus a custom report builder.

Reporting with twelve built-in templates plus a custom report builder.

Secondary Market & Servicing