Full-Stack Infrastructure for Tokenized Private Assets
From deal structuring through compliant issuance to secondary transfer — every layer of the tokenization stack, built for institutional requirements.
Smart Contract Issuance, Compliance-Native
The Capkindle issuance engine deploys programmable security tokens — ERC-3643 / T-REX standard — with transfer restrictions, vesting schedules, and accredited investor eligibility encoded at the contract level. The compliance architecture is defined at deal structuring, not retrofitted after deployment.
- ERC-3643 / T-REX standard token architecture
- On-chain whitelist for verified investor addresses
- Tranche structuring: senior, mezzanine, subordinated
- Automated lock-up enforcement and cliff schedules
- Multi-chain deployment: Ethereum, Polygon, compatible L2s
Institutional-Grade KYC/AML at the Infrastructure Level
Compliance is not a feature — it is the foundation. Capkindle's compliance layer operates at every issuance and transfer event, with documentation designed to satisfy the due diligence requirements of institutional GPs, LPs, and their outside counsel. OFAC and PEP screening, accredited investor verification, and Form D support are integrated, not added as optional modules.
Investor KYC/AML
Programmatic identity verification against OFAC, PEP, and adverse media screens. Accredited investor status verification for Reg D 506 eligibility.
Transfer Restrictions
On-chain transfer restrictions enforced at the smart contract level. Tokens cannot move to non-whitelisted addresses. Lock-up periods enforced automatically.
Audit Trail
Immutable on-chain records of every issuance event, investor onboarding, and token transfer. Exportable for LP reporting and fund administrator review.
A Structured Onboarding Experience for Institutional Investors
The investor portal handles the full accreditation workflow — from identity verification through subscription document execution to token allocation. Designed for the due diligence expectations of family offices and fund investors.
- Accredited investor questionnaire and documentation upload
- Subscription agreement execution (electronic signature)
- Portfolio dashboard: holdings, distributions, document vault
- Secure fund administrator reporting exports
Structured Secondary Transfer Without Losing Compliance
Private asset tokens are illiquid by design — and the infrastructure should enforce that, not work around it. Capkindle's secondary rails allow bilateral transfers under controlled conditions: whitelist verification at execution, lock-up expiry enforcement encoded in the contract, and a documented audit trail for every transfer event. ATS registration considerations are a counsel decision; the infrastructure is built to support whatever transfer restriction structure counsel requires.
Seller Initiates
Token holder initiates a transfer request. Lock-up status and transfer restrictions verified automatically against smart contract state.
Buyer Verified
Prospective buyer must be on the issuer's whitelist. If not, they complete KYC/AML onboarding before the transfer can proceed.
On-Chain Settlement
Transfer executed on-chain. Audit trail updated. Issuer receives notification. Documentation generated for fund administrator records.
Built to Fit Institutional Operational Stacks
Capkindle is custody-agnostic and integrates with the identity, blockchain, and document infrastructure institutional operators already use. We do not require proprietary custody or impose a locked-in settlement stack. Every integration layer is designed for qualified custodian and fund administrator workflows.
Integration specifications are available under NDA to institutional clients during onboarding. Named third-party integrations are confirmed at deal structuring. Capkindle does not endorse or represent any specific custody or identity provider as a formal partner.
Schedule a Platform Walkthrough
Our team will walk you through the full issuance stack and answer questions specific to your deal structure and asset class.