Raise faster without losing the audit trail
Take an offering from formation to close with eligibility controls, a real Deal Room, and subscription states you can defend in diligence.
Sponsors configure the vehicle, terms, and eligibility once, then work a single pipeline from lead through admitted investor. Every state change is attributable, timestamped, and evidenced — so year-end audit and investor questions resolve from the record instead of an inbox.
Offering builder
Terms, classes, minimums, caps, timelines, asset linkage, disclosure packages, and publication controls with eligibility gating.
Deal Rooms with control
Permissioned document access per offering and investor, with access logging and no public exposure of nonpublic material.
Investor pipeline
Leads, commitments, and subscription review queues with assignment, status, and outstanding-item tracking.
Closings and ownership
Run closings, admit investors, and issue effective-dated ownership records that reconstruct the cap table for any date.
Capital calls and distributions
Pro-rata call computation, notice generation, funding tracking, and waterfall-driven distribution runs with preview.
White-label presence
Your logo, colours, typography, domain, favicon, and legal footer across the investor experience.
What to keep in mind
- Publication does not imply any regulatory review or approval of an offering.
- Eligibility rules are enforced server-side; a hidden interface element is not treated as an access control.
- Payment rails and settlement are owned by the FinTech Suite — nothing is marked settled without counterparty confirmation.
- Properties and construction records live in their own Suites and are referenced, not copied.
