Structuring
Define asset terms, policy rules, and investor eligibility.
The issuer-facing orchestration suite that simplifies tokenized asset deployment, lifecycle management, and operational reporting without exposing infrastructure complexity.
Full Lifecycle. One Platform. From structuring to maturity, every stage automated.
z360 gives fund managers, private credit desks, and treasury teams one secure operating surface to structure assets, enforce policy, and run lifecycle operations with audit-ready controls.
Define asset terms, policy rules, and investor eligibility.
Deploy token contracts across supported chains.
KYC/KYB and jurisdiction-aware entitlement controls.
Route to partner channels and institutional endpoints.
Automate payouts, actions, and investor notifications.
Support transfer activity, liquidity events, and final redemption.
z360 provides a unified interface to configure, deploy, monitor, and manage tokenized RWAs across blockchains, compliance frameworks, and distribution channels.
Embedded compliance logic from day one. Configure asset parameters, investor eligibility, and transfer restrictions.
Automated smart contract deployment across 14+ live blockchain networks with 100+ chain-ready architecture.
Streamlined KYC/KYB workflows with role- and jurisdiction-based access controls.
Distributions, corporate actions, and reporting automated with institutional-grade precision.
Audit-ready reporting with complete visibility across tokenized assets and investor activity.
Native connectivity to zConnect distribution infrastructure for licensed partner access at network scale.
Primary issuer segments deploying tokenized assets across geographies, asset classes, and compliance regimes.
Issue tokenized funds with embedded compliance. Connect to licensed distribution partners through zConnect.
Structure and issue tokenized debt instruments with automated restrictions, eligibility rules, and payout logic.
Deploy tokenized property and infrastructure assets with jurisdiction-specific frameworks and lifecycle controls.
Manage policy-grade tokenized instruments including land registries, municipal instruments, and public infrastructure assets.
One issuer workspace to launch, monitor, and manage assets from issuance through maturity.
Prepare instruments, define economics, and deploy with policy-aware templates.
Compliance restrictions and permissions enforced at token level from first issuance.
Deploy for issuers and platforms under your own brand while retaining operational control.
Issue, manage, and scale tokenized assets across geographies and asset classes. Institutional-grade infrastructure, built for speed.