Crypto broking,fullyaccounted for.
OTC trade execution, client onboarding, and CARF-ready reporting on one operating rail — so every ticket, wallet, and settlement reconciles itself.
Six modules. One operating rail.
Every part of the Crynetics stack is built to compose — from the first onboarding step to the final reconciled statement.
OTC Execution
Spot and block trades ticketed through the desk, priced against live venue books, confirmed with an auditable trade note per fill.
Client Onboarding
Guided seven-step wizard: entity details, contacts, directors, UBOs, source of funds and wealth, expected activity — autosaved end-to-end.
Compliance Suite
CARF-ready reporting, AML screening on every counterparty, and reacceptance gates baked in — regulator-facing exports on demand.
Treasury & FX
Wallets, banking rails, and live FX in one ledger. Move between crypto and fiat with a full audit trail and per-currency rollups.
Reconciliation & Ledger
Wallet addresses, bank statements, and trade tickets matched automatically. Break the match and the ledger flags it before you do.
Reporting & Statements
Branded client statements, scheduled reports, marketer commission breakdowns, and PDF-ready audit packs — generated on your cadence.
One operating view for every client.
The Crynetics terminal pulls live venue prices, open tickets, wallet and bank balances, and compliance flags into a single workspace. Nothing lives in a spreadsheet.
- Live venue pricing on every OTC ticket
- Wallet, bank, and FX balances in one ledger view
- Immutable audit trail on every action and event
From first ticket to clean audit in one flow.
Onboard
Client fills the seven-step wizard — entity, UBOs, source of funds — autosaved and reviewed by the compliance team.
Ticket
Raise an OTC trade ticket. Price is quoted live against venue books; the client confirms and the fill is booked to their ledger.
Settle
Wallets and banking rails move the funds. Every leg is stamped with the wallet address, hash, and bank reference for later matching.
Reconcile
Trades, wallets, and bank statements auto-match into a single ledger. Reports and CARF-ready exports drop straight into your compliance stack.
