Platform

A complete custodial asset management stack, not a dashboard.

TANO handles the full lifecycle: account identity, funded custody, strategy allocation, automated execution, accounting, reporting and withdrawal. Each layer sits behind an adapter so infrastructure can be replaced without rebuilding the interface.

Six layers, one contract each

Every external dependency is expressed as an interface. Swapping a provider is a configuration change, not a migration.

Custody layer

Provider-agnostic custody adapter. Coinbase Prime, Fireblocks or another qualified custodian can be attached without changing a single screen.

Execution layer

Order routing from the single TANO decision engine to live execution today, and to institutional exchange accounts through the same interface when live rails are enabled.

Ledger & accounting

Double-entry ledger for deposits, allocations, fills, fees, accruals and withdrawals. Every balance is reconstructable from entries.

Risk engine

Strategy capacity limits, per-account exposure caps, drawdown policies and kill switches enforced before orders reach the venue.

Market data

Quote and candle adapters on institutional feeds, behind one contract.

Compliance

KYC/AML adapters gate withdrawals and elevated limits. Screening results are stored against the account, not the browser.

What the platform does

Client-facing capability on one side, operator control on the other, sharing a single source of truth.

Client onboarding

Account identity, verification state, tiered limits.

Funding

Deposit addresses and bank rails behind the custody adapter.

Allocation

Capital assignment to strategies with subscription and redemption flow.

Monitoring

Live positions, fills, exposure and P&L attribution per strategy.

Withdrawals

Request, review, approval and settlement with a full audit trail.

Operator console

Treasury, users, strategies, risk, accounting and infrastructure.

Built for the operator too

The command center is a first-class product surface, not an afterthought.

Treasury and reconciliation

Omnibus and segregated account views, pending settlement, and ledger-versus-custodian reconciliation.

Strategy lifecycle

Register a strategy, set capacity and fee schedule, stage it, run it, pause it or wind it down with client notice.

Open an account

Explore custody, allocation, execution and reporting end to end. No commitment required.