Control the foundation treasury from one ledger

Unify native tokens, stablecoins and fiat, screen grant payments before broadcast and have Range prepare the governance and audit reporting your reviewers need.

Treasury dashboard showing balances and transactions

The foundation gap

Every grant adds another reconciliation path

Treasury positions live across custodians, multisigs, operating banks and networks, while governance expects one clear answer. Range starts with your reporting and policy requirements, turns them into controls, orchestrates existing risk providers, then runs monitoring, reconciliation and reporting from one ledger.

Trusted across leading ecosystems

What Range does for foundations

One source of truth for the organization

Range organizes every connected account and keeps payments, counterparties and governance reporting tied to the same underlying activity. Range workflows gather the evidence, apply foundation policy, resolve exceptions and prepare the governance or audit result.

See the whole treasury

View native tokens, stablecoin reserves and fiat operating accounts across custodians, multisigs, wallets and banks.

Control every grant and payment

Check wrong-address conditions before broadcast, match the recipient across rails, route multisig approvals and retain the decision reasoning.

Report from verified activity

Build board, auditor and ecosystem reporting from the same reconciled ledger used for operations.

Foundation workflows

See the position, control the payment, report the result

Each workflow runs on the same ledger and matched counterparty record.

  • Unified treasury

    Keep custodians, self-custody wallets, multisigs and bank accounts in one real-time view.

  • Grant and payment controls

    Screen counterparties and onchain transfers before broadcast, check wrong-address conditions, route the correct multisig signer path and retain the decision reasoning.

  • Governance reporting

    Export categorized activity for board, auditor, accounting and risk workflows.

Transaction reconciliation dashboard matching account activity

How it works

One record from connection through governance

01

Connect the treasury

Connect custodians, wallets, multisigs, operating banks and supported networks.

02

Define treasury policy

Add approval rules, counterparty whitelists and exposure limits.

03

Screen, approve and reconcile

Apply controls before onchain broadcast, route multisig approvals, retain the decision reasoning and classify the resulting activity.

04

Report from the ledger

A Range workflow gathers the reconciled activity and control evidence, surfaces exceptions and prepares the governance, audit or accounting output for review.

Bank-grade controls across digital assets and fiat rails

Data Isolation

Customer workspaces are logically segregated, with strict tenant isolation and internal permission boundaries.

GDPR Compliant

We follow EU data protection requirements for data processing, access, retention and privacy.

SOC 2 Type II audit

Range is undergoing an independent external audit against rigorous security, availability and confidentiality controls.

Defense in Depth

Layered controls across infrastructure, application, identity and data. Encryption, monitoring, RBAC and least-privilege access at every layer.

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FAQ

Yes. Range connects wallets, multisigs, custodians and bank accounts into one real-time ledger.

Yes. Range applies pre-execution checks to onchain payments and can block broadcast when a configured control fails.

Range retains the policy result, signer path and decision reasoning with the transaction record.

Range feeds enriched onchain data into Xero, QuickBooks, NetSuite and SAP, or provides structured exports.

Yes. Range builds reporting from the same normalized ledger used for treasury activity and reconciliation.

No. Range sits above the custody stack and connects the records between providers.

More questions on blockchain foundations, see the full FAQ.

Bring treasury governance onto one ledger

See how Range unifies positions, controls grant payments and produces reporting across the foundation's full operating surface.