Key Features
As designated paying agent, we manage the regulated flow of funds across multiple jurisdictions, delivering settlement certainty and full traceability
Registered Paying Agent Role
Formal appointment in financial transactions and capital market events
Jurisdictional Compliance
Structured for key Western markets (EEA, UK, Canada), Greater China, Southeast Asia, the Eurasian Growth Belt, and emerging market legal frameworks
Escrow & Disbursement Controls
Customizable waterfall logic, event-driven releases, and audit-ready trails
Integrated Treasury Functionality
Seamless linkage to FX, custody, and local payout rails
Regulatory-Grade Reporting
Full transaction-level traceability; audit packages for regulators and counterparties
Use Cases

Multi-party disbursements
debt issuance, capital calls, escrowed acquisitions

Asset managers
or project sponsors needing compliant payment control across borders

Structured products
and SPVs requiring transparent, enforceable payment logic