See every treasury and inflow
View native tokens, stablecoins, protocol inflows and fiat across wallets, multisigs, custodians and banks.
Unify native tokens, stablecoins, protocol inflows and fiat, then have Range prepare the reconciliations and audit evidence behind the operation.
The protocol gap
Native-token positions, protocol inflows, multisigs, custodians and bank accounts rarely arrive as one finance record. 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.
What Range does for protocols
Range organizes the connected accounts and ties each transaction to the right counterparty, policy and accounting record. Range workflows gather the evidence, apply protocol policy, resolve exceptions and prepare the reconciliation or stakeholder report.
View native tokens, stablecoins, protocol inflows and fiat across wallets, multisigs, custodians and banks.
Screen sanctions, fraud, operational errors and counterparty risk before an onchain transfer is broadcast, with multisig approval support.
Classify activity across rails, match counterparties and feed enriched onchain data into supported accounting and ERP systems.
Range products
Unify
Real-time positions across native tokens, stablecoins, protocol inflows and fiat.
Unify
One vendor, contributor, market maker or partner across wallet, exchange and bank identifiers.
Protect
Pre-execution controls on outgoing onchain payments, with alerts on fiat activity.
Unify
Normalized and classified activity across chains, custodians and banks.
Protect
Continuous visibility across asset, custody, chain, protocol and FX exposure.
Unify
Board, investor, auditor and accounting reporting from the same ledger.
Protocol workflows
Range brings treasury visibility, reconciliation, payment controls and stakeholder reporting onto one operating record.
Organize positions and activity across connected wallets, multisigs, custodians, chains and banks.
Normalize and classify protocol inflows, transfers and operating activity for the accounting record.
Screen outgoing onchain payments before broadcast and route approvals with multisig support.
Build board, investor and audit reporting from the same reconciled ledger.
How it works
01
Bring treasury positions, protocol inflows and operating accounts into one view.
02
Add approval requirements, counterparty whitelists and exposure limits.
03
Apply controls before onchain broadcast and classify the resulting transaction for finance.
04
A Range workflow gathers reconciled activity and control evidence, surfaces exceptions and prepares the board, investor or audit output. Range can then produce structured exports or feed enriched onchain data into Xero, QuickBooks, NetSuite and SAP.
Customer workspaces are logically segregated, with strict tenant isolation and internal permission boundaries.
We follow EU data protection requirements for data processing, access, retention and privacy.
Range is undergoing an independent external audit against rigorous security, availability and confidentiality controls.
Layered controls across infrastructure, application, identity and data. Encryption, monitoring, RBAC and least-privilege access at every layer.
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Customer proof

More questions on crypto protocols, see the full FAQ.
Review how Range connects protocol inflows, treasury positions, payment controls and reporting.