Legal wrappers, investor onboarding, and lifecycle events—tokenized assets where off-chain truth matches on-chain claims.

Bridge paper to programmable ownership—with disclosures investors and regulators can follow

We structure issuance workflows that bind prospectus data, cap tables, and corporate actions to smart contract roles—transfers respect lockups and eligibility flags. Dividend and redemption events post with audit-friendly references to paying agent instructions. Secondary liquidity modules can integrate ATS-style rules or OTC desks—order types and settlement windows follow securities counsel, not generic DEX defaults.

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Real-World Asset Tokenization & RWA Platform Development

01 // THE MANDATE

Legal wrappers, investor onboarding, and lifecycle events—tokenized assets where off-chain truth matches on-chain claims.

We structure issuance workflows that bind prospectus data, cap tables, and corporate actions to smart contract roles—transfers respect lockups and eligibility flags. Dividend and redemption events post with audit-friendly references to paying agent instructions.

Secondary liquidity modules can integrate ATS-style rules or OTC desks—order types and settlement windows follow securities counsel, not generic DEX defaults.

02 // ENGINEERING

Development process

Structured phases—from discovery to launch—with clear ownership and handoff points.

Legal structure (weeks 1–10)

Offering docs, transfer restrictions, technology disclosure.

MVP (weeks 8–20)

Issuance, onboarding, transfers under policy, reporting.

Pilot investors (weeks 16–26)

Small cohort; reconciliation with transfer agent.

Scale (weeks 24–34)

Secondary rules; additional jurisdictions optional.

Operate (ongoing)

Corporate actions; regulatory updates.

03 // CAPABILITIES

Core Capability Matrix

The building blocks of your solution

Issuance

SPV docs; token params; investor classes.

Onboarding

KYC/AML; accreditation optional; jurisdiction gating.

Cap table

mirrored registry; reconciliation jobs.

Corporate actions

distributions; splits; notices.

Transfers

lockups; allowlists; forced transfers optional.

Reporting

investor statements; tax packs optional.

Custody

qualified custodian hooks optional.

API

transfer agent integrations; data room links.

Admin

role separation; dual control.

Disclosure

document vault; version history.

04 // DELIVERY LIFECYCLE

The strategic roadmap

Milestones and checkpoints—each phase has a clear outcome before the next begins.

Milestone 01Delivery

Weeks 1–10: Counsel-approved token and offering design.

Milestone 02Delivery

Weeks 11–18: Sandbox issuance.

Milestone 03Delivery

Weeks 19–26: Live pilot raise.

Milestone 04Delivery

Weeks 27–34: Secondary and automation depth.

Milestone 05Delivery

Ongoing: New asset classes; investor communications.

05 // PRODUCT SCOPING

Choosing your path

Two engagement models—start lean and iterate, or commit to a full platform build from day one.

MVP

Speed & essentialism

Phase 1
MVP: investor portal, KYC-gated mint, transfer restrictions, distribution notices, admin console, PDF reports. Excludes public DEX listing and full ATS integration. Proves reconciliation discipline before liquidity features.
Recommended

Full product

Enterprise maturity

All-in
Enterprise RWA: multi-asset servicers, ATS integrations, global investor bases, institutional APIs, proof-of-reserve attestations optional.

06 // PARTNERSHIP

Why work together

A single accountable partner across strategy, build, and go-live—not a revolving door of vendors.

John Hambardzumian
Direct collaboration

End-to-end ownership: discovery, architecture, implementation, and launch—with clear communication and production-grade engineering.

  • Discovery & alignment
  • Systems that scale
  • Implementation depth
  • Clear comms

07 // CLARITY

Frequently asked

We implement controls counsel defines; software does not determine exemption eligibility.

Ready to start?

Tell me about your product goals and timeline—I'll respond with a clear path forward.