The Issuer Command Center simplifies securities management, offering real-time insights, custom reports, and streamlined operations for issuers and platforms.
The Issuer Command Center is a platform designed to simplify and enhance securities management for issuers engaged with BitGo RWA’s Transfer Agent, Brassica Services LLC and platforms utilizing the BitGo RWA infrastructure. This dashboard provides detailed insights into securities, shareholder registries, and reports that are crucial for tracking investor data. Whether you’re managing securities issuance, audit reporting, or investor relations, the Issuer Command Center gives you the tools to streamline operations and focus on growth.
The Issuer Command Center offers a range of features to optimize securities management:
Track Securities and Ownership: Monitor individual securities and ownership details with ease.
View Cap Tables and Transfer Histories: Access cap tables, holdings, and transfer histories for a complete picture of each security.
Generate Custom Reports: Export customizable reports for compliance and audit purposes, tailoring the data to fit specific needs.
The Issuer Command Center serves as a centralized hub for managing everything from securities issuance to post-issuance tracking. Access to this dashboard provides issuers with several key tools and resources:
associated securities. This allows for all relevant information to be easily accessible in one place.
individual securities, including ownership, transfer history, and transaction data. This helps simplify the process of managing securities, offering a comprehensive overview of assets, cap tables, and holdings.
the Command Center includes an "Export" button, allowing users to download data as a spreadsheet. Reports can be customized to include specific data points, giving issuers have access to tailored reports for compliance and audit purposes.
Issuer Command Center includes two permission levels:
- Admin: Admins can update time zone settings and manage internal users.
- User: Users can manage personal settings, such as time zones, passwords, and two-factor authentication.
These core features help issuers minimize time spent waiting for responses to emails and administrative tasks.
Issuers can leverage the Issuer Command Center to keep investors informed with real-time updates on their holdings and any changes in ownership. It empowers issuers to view and request transfers, communicate important updates, and meet requirements directly with investors. One of the key advantages is that issuers can independently view and export individual holdings, cap table data, and transfer activity—eliminating the need to request this information from a platform or the transfer agent. This level of autonomy fosters investor confidence and strengthens trust, which is vital for sustaining long-term investor relationships.
The increased transparency provided by the Issuer Command Center allows issuers to improve communication with investors, to help make sure they have access to the latest investor data, including updated registration details, emails, phone numbers, primary addresses, and name changes.
Platforms can also leverage the Issuer Command Center to offer issuers a seamless experience. Real-time data access, shareholder information, and customizable reports making it easier for platforms to meet the needs of their clients. The platform's built-in security features, such as two-factor authentication and manage internal users, provide provide a secure environment for issuers and protect sensitive financial data from unauthorized access.
The Issuer Command Center’s flexibility and security make it a key asset for platforms, cutting down on implementation time while giving issuers direct access to relevant data through the platform. It also offers the ability to create an integrated user experience, delivering a solution for managing and safeguarding critical financial information.
The Issuer Command Center will adapt and grow to meet new challenges. Future enhancements will likely include selling securities by creating and managing capital formation offerings, managing investments, offering and investment reporting, and further streamlining securities management.
In addition, the platform is poised to integrate more advanced features and be able to support multiple types of assets. These improvements will continue to elevate the platform’s ability to support issuers and investors in managing their securities and capital formation needs.
The Issuer Command Center is the ultimate solution for simplifying and optimizing securities management. With comprehensive features that help streamline operations and improve transparency, it provides issuers and platforms with the tools they need to succeed in the modern capital markets.
By streamlining and automating key processes, the Issuer Command Center enables issuers to concentrate on growth, while enabling platforms to provide a more seamless and secure client experience. As it continues to advance, the Issuer Command Center will remain a vital resource for managing securities and will soon expand to support selling securities.
If you’re an issuer that wants to engage with our Transfer Agent or a platform that wants to utilize BitGo RWA infrastructure for your issuers, contact us today to see Boost Efficiency and Transparency with the Issuer Command Center 4 how the Issuer Command Center can help transform your operations.
Because they've got everything they need in one Command Center!
Simplify the investment process and make alternative assets easily accessible to all suitable investors, unlocking a world of possibilities for investors and businesses raising capital.
Looking for a customized service solution?
We offer a wide range of capabilities that can be tailored to your
requirements.
To learn more contact us at
sales@brassicafin.com