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Finance & Treasury Operations

The financial backbone of a cross-border company — fiat and crypto, handled together.

1 h

Service Description

We take over the day-to-day financial operations of international companies — from multi-currency bookkeeping and AR/AP management to monthly reporting for the founder. We open and manage banking relationships across multiple jurisdictions and handle the diplomatic communication required to keep international accounts open long-term. For crypto-native businesses, we manage treasury operations across centralised exchanges, custodians, and self-custody wallets — including reconciliation, reporting, and audit-ready documentation. We support AML and KYC requirements, coordinate international payroll and contractor payments for distributed teams, and serve as the connecting layer between your tax advisors and legal counsel across countries. The result: a clean monthly close within five business days and a one-page financial overview that the founder actually reads.


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