Asset owner / issuer
Supplies the asset evidence and bears the obligations defined in the issuance documents.
Define the project, intended rights, target participants and financing objective.
Check ownership, existing charges, valuation and the issuer’s powers with the relevant professionals.
Confirm the legal instrument, jurisdictions and responsibilities before the technical build.
Choose compatible infrastructure and configure issuance, permissions and integrations.
Test subscriptions, transfers, failures and administrative actions before approved deployment.
Maintain records, controls, technical support and the agreed exit or migration arrangements.
Use this local checklist to prepare your discussion. It is not a legal assessment and your answers are not stored or sent.
Ben X coordinates the technical work. Ownership, legal validation, valuation and regulated services belong to the relevant appointed parties.
Supplies the asset evidence and bears the obligations defined in the issuance documents.
Review classification, enforceable rights, offering requirements and permitted distribution.
Provides a dated asset valuation under an agreed methodology where the project requires it.
Provide payment, safeguarding or custody services where required and appropriately authorized.
Assesses requirements, coordinates technical implementation and delivers the agreed support.
Tell us about your asset and objectives. We will use your enquiry to discuss the appropriate next steps.