Cross-border businesses rarely stall on strategy. They stall on the mechanics of moving money — fragmented banking relationships across jurisdictions, currency mismatches that erode margin, settlement times that constrain working capital, payment rails that break at the wrong moment.
Our payments infrastructure addresses these mechanics directly. From a single operational view, your treasury team holds balances in more than 100 currencies, initiates cross-border payments that settle in near real-time, and manages inbound flows on both local and international rails — with the governance standards expected of a Swiss institution.
Every component of the payment stack is delivered with institutional discipline and integrated cleanly with the treasury and reporting systems your business already runs.
100+ currencies, segregated by entity, with clean audit trails and consolidated reporting across jurisdictions.
SWIFT, SEPA, ACH and local-rail routing with near real-time settlement where available, batched where efficient, always priced transparently.
Centralized visibility of balances, internal transfers without FX where possible, sweeping and pooling across accounts.
Inbound collections and outbound disbursements through one API or dashboard, with exception handling and reconciliation built in.
Machine-readable statements (MT940, camt.053, JSON) delivered to your ERP or TMS, intraday and end-of-day.
Institutional sanctions, travel-rule, and AML checks built into every flow — rigour without the friction of a retail correspondent chain.
Moving large ticket sizes across time zones, where settlement latency carries real cost.
Earning revenue globally but concentrating opex in one or two currencies.
Invoicing in one currency while paying staff, suppliers, and taxes in several.
Coordinating treasury across operating subsidiaries in multiple jurisdictions.
We map your jurisdictions, currency mix, counterparties and pain points before proposing any structure.
We design the account topology, rail selection and treasury policies that fit your operations — not a template.
Compliance, documentation and technical onboarding coordinated through one relationship manager from day one.
Institutional FX pricing, spot and forward solutions, hedging tools for operating businesses.
View serviceCards, bank transfers and multi-currency acceptance through a single integration.
View serviceCompliant on-ramps and off-ramps between fiat and digital assets, built for institutional use.
View serviceEvery initial conversation is private and without obligation.