Issuer Administration

Issuers — the entities that create and manage vault products — have access to a dedicated administration dashboard. This dashboard provides complete control over the issuer's vault offerings and investor management.

Key Issuer Capabilities

Product Configuration

Configure vault parameters including yield rates, lock periods, minimum investments, and compliance settings for each product. All parameters are set through an intuitive interface with real-time previews of how the product will appear to investors.

Investor Management

View and manage investor positions, monitor subscription levels, and handle investor inquiries related to their products. The issuer dashboard provides a complete view of all investors in each vault.

Performance Monitoring

Track vault performance metrics including total deposits, yield distributions, and investor activity in real-time. Performance data is updated continuously and available through the issuer dashboard.

Compliance Controls

Set jurisdiction-specific parameters, investor eligibility criteria, and compliance documentation for each vault product. Compliance settings determine which investors can access the product based on their verified location and investor classification.