Each Verdantix product and service is engineered against the same operational discipline: double-entry ledgering, separation of duties, full audit trail, and Black-Scholes-grade pricing transparency — extended to advisory, consulting, and project delivery for corporate clients.
T1-grade over-the-counter digital option execution support serving institutional counterparties globally. Cash-settled European-style options across crypto, FX, equities, and rates — priced transparently with Black-Scholes, custodied through an independent Hong Kong trustee, and auditable end-to-end.
We provide and operate the back-office systems behind corporate cash flows — escrow custody, structured settlement, FX-aware netting, and intercompany reconciliation — for clients who need bank-grade controls without bank-pace timelines.
Single double-entry ledger with FX-aware translation and intercompany netting under master agreement.
Client cash held by an independent licensed trustee with daily attestation and reconciliation.
Bespoke settlement waterfalls for milestone-based corporate transactions.
Balance sheet, P&L, cash flow, and trial balance generated on demand to client’s auditor.
BTC, ETH, and majors. Binance / KuCoin spot reference.
Single-name and index. IB Gateway integration.
G10 and selected EM pairs.
USD, EUR, GBP, SGD rate-linked digital structures.
Our quotation engines are open-formula by design. Every price returned to a client is decomposable into its Black-Scholes inputs, vol surface assumptions, and risk premia. External auditors and internal risk officers can replicate every quote from the archived market data.
For corporates whose treasury, trading, or settlement requirements outgrow off-the-shelf software, Verdantix builds bespoke applications on the same operational stack that underpins VDX Trading. Engagements are typically delivered in 12–16 weeks.
Two-week engagement to scope requirements, regulatory perimeter, and architecture.
10–14 week sprint with weekly demonstration releases on a shared client environment.
Multi-pass audit before production cutover. Independent penetration test on request.
Optional managed-service hosting on the same infrastructure as VDX.
Verdantix operates proprietary trading capability across the same asset classes covered by the execution platform. We use this capability to provide liquidity to client trades, to take principal positions where appropriate, and to validate our own pricing engines under live market conditions.
The proprietary book is segregated from client funds, capitalised separately, and monitored under the same risk framework as the execution platform (parametric VaR, historical VaR, stress scenarios, Greek caps).
Market-making and risk-warehousing strategies with discretionary oversight.
Greek caps, loss stop-out, and notional limits applied at the matching engine.
Operates from a distinct ledger account from client funds, with daily attestation.
P&L, positions, and risk metrics signed off daily by an independent control function.
We advise corporate clients on technology architecture, vendor selection, and build-vs-buy decisions across treasury, trading, settlement, and risk management. Our perspective is shaped by operating our own institutional platform — not by reselling someone else's.
Engagements typically run four to eight weeks and produce an architecture decision record, a costed roadmap, and an implementation plan that an internal team can execute against without further dependence on us.
Current-state assessment of treasury management, payment, and FX infrastructure with a prioritised remediation plan.
Structured RFP design, vendor shortlisting, technical due diligence, and contract negotiation support.
Cost-benefit modelling, capability gap analysis, and recommendation with quantified trade-offs.
Buy-side technology due diligence for corporate M&A and minority investment transactions.
Hedge programme design, counterparty selection, hedge accounting positioning, and ongoing portfolio review.
Drafting and review of treasury, counterparty risk, and investment policies for board approval.
Framework design for corporate digital asset holdings, custodian selection, and operational risk controls.
Pre-transaction operational readiness review for corporates contemplating public market or strategic financing events.
Verdantix advises corporate boards and senior management on the financial, operational, and strategic questions where standard professional services firms struggle to add differentiated value — typically because the questions sit at the intersection of finance, technology, and regulatory perimeter.
Mandates are taken on a fixed-fee or retained basis. We do not earn commissions or referral fees from any third party, so our advice is structurally independent.
Verdantix provides project and programme management capacity to corporate clients executing material technology initiatives — typically platform migrations, vendor consolidations, treasury transformations, or post-acquisition integrations where the internal team lacks bandwidth or specialist experience.
We bring our own programme management framework, weekly cadence, RAID logging, and steering committee reporting. Engagements are typically three to nine months on a named-resource model.
Workstream design, dependency mapping, milestone planning, and resource modelling at programme inception.
Steering committee structure, board-pack templates, RAID register, and stage-gate criteria.
Statement-of-work scoping, milestone acceptance, change control, and commercial dispute resolution.
Knowledge transfer to internal teams, lessons-learned review, and post-implementation health check at three and six months.
Institutional onboarding, bespoke development, prop-trading partnership, or simply a conversation. Our execution desk responds within one business day.
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