Run every issuance from one console.
The instrument, the investor book, settlement and the register in one place, for banks, servicers and platforms running repeated issuance programmes.
Raised
€1,850,000
of €4,000,000
Your investor book, end to end.
Every investor from first contact to allocation. KYC status, documents and commitments live on the same card, so nothing is chased by email.
Investor book
Harbour Logistics Note
Contacted
Karl Weber
€50,000
Delta Partners
€300,000
KYC
Marta Rinaldi
€25,000
Committed
Lumen Pension Fund
€1,000,000
Allocated
Aster Family Office
€750,000
Settlement that can’t half-happen.
Payment and delivery settle together or not at all, whether investors pay by bank transfer or in stablecoins. No reconciliation spreadsheet at the end of the day.
Investor
Marta Rinaldi
Issuer
HLN SPV
A register that is always right.
Transfers are checked against the instrument’s rules before they settle, and the holder register updates the moment they do. Export it whenever you need it.
- Lumen Pension Fund1,000,00054.5%
- Aster Family Office750,00040.9%
- Karl Weber50,0002.7%
- Marta Rinaldi25,0001.4%
And everything around it.
Instrument setup
Terms, investor rules and documents configured once, reused for every series.
Documents
Prospectus, subscription forms and reports, shared with the right investors.
Distributions
Coupons and dividends calculated and paid to every holder.
Redemptions
Scheduled or early, with the register updated automatically.
Controls
Pause, freeze and recover wallets when something goes wrong.
Audit trail
Every action, by whom and when, ready for your auditors.
Made for teams that issue again and again.
Banks
Bring private placements and structured products onto a digital register without rebuilding your stack.
Servicers
Administer many issuers and vehicles from a single console.
Platforms
Run the back office of your marketplace while your brand stays in front.
Questions, answered.
What is the Unlayer Issuer Portal?
Software to run digital securities issuances end to end. Instrument setup, the investor book, settlement and the holder register sit in one console, built for banks, servicers and platforms running repeated issuance programmes.
How does settlement work?
Delivery versus payment: payment and delivery of the security settle together or not at all. Investors pay by bank transfer or in stablecoins, and every payment is matched to its subscription.
Does it handle distributions and redemptions?
Yes. Coupons and dividends are calculated and paid to every holder, and scheduled or early redemptions update the register automatically.
Does it work with the Investor Portal?
Yes. The Investor Portal is connected to the issuer console, so onboarding, subscriptions and holdings flow into the same investor book.
See it on your own issuance.
We’ll walk through the console with an instrument like yours.