Platform

Swiss bank-grade.
By construction.

Maubex Capital’s execution architecture is engineered around a single principle: client assets must be underwriteable. Every leg of every transaction is segregated, screened and auditable.

Speak to the desk

How a trade runs

Three layers, one auditable path.

Maubex Capital’s execution architecture is engineered around a single principle: client assets must be underwriteable. Every leg of every transaction is segregated, screened and auditable.

  1. Layer 01

    Resting layer

    Qualified custodian

    Institutional MPC custody. Segregated per client. Bankruptcy-remote. Insured. Never commingled with exchange or firm assets.

  2. Layer 02

    Execution layer

    Liquidity venue

    Funds touch the exchange transiently, during bridging only. Never overnight, never at rest on an exchange. Multi-venue routing eliminates single-point-of-failure risk.

  3. Layer 03

    Settlement layer

    Beneficiary

    Direct on-chain delivery to a whitelisted beneficiary. Hash returned per leg for auditable settlement. Sub-2-hour Tron, sub-3-hour Ethereum.

MPC
Multi-party computation keys
~2 min
KYT screening latency
99.9%
Uptime SLA, written
4–6 wk
Sign-to-live onboarding

Custody model

Segregated. Bankruptcy-remote. Never commingled.

Funds must rest with a qualified custodian, not on a retail exchange. That is the difference between assets an auditor can sign off and assets nobody can account for.

01

Multi-party computation

Institutional MPC key architecture — no single party holds a complete key.

02

Segregated per client

Client assets are held apart, never pooled with exchange or firm assets.

03

Bankruptcy-remote

Custody is structured so client assets sit outside the insolvency estate.

04

Insured

Qualified-custodian cover sits behind assets at rest.

The platform

Two layers. One system.

The proprietary platform — now in build with a specialist technology partner — separates regulated operator workflows from client-facing access.

Maubex Capital’s regulated team

Operator layer

  • Internal trading and treasury
  • Compliance and reporting
  • KYC/AML case management
  • Risk monitoring

Secure client portal

Client layer

  • Onboarding
  • Deposit and withdrawal instructions
  • Trade execution
  • Account statements and compliance disclosures

Licensed, screened and audited to the standard institutional capital expects.

FSCA FSP 53778REGISTERED CASPISO 27001Chainalysis KYTSumSub KYC / KYBFICA & POPIASOC 2 IN AUDITCategory I & II FSP

Ready to talk?

For partnership, client onboarding or regulatory enquiries, speak directly to the Key Individual.