See every balance
View banks, wallets, custodians and exchanges together across fiat, stablecoins and digital assets.
See every balance, reconcile every movement and have Range prepare treasury, board and audit reporting from the same financial record.
The finance gap
Wallets, custodians, exchanges and banks each hold part of the answer, while month-end still depends on exports and spreadsheets. Range starts with your reporting requirements, turns them into operational controls, orchestrates the providers you already use, then runs monitoring, reconciliation and reporting from one ledger.
What Range does for finance
Range organizes the connected accounts, matches counterparties and classifies activity so finance can work from current data across both rails. Range workflows use that record to gather evidence, apply policy, resolve breaks and prepare the reconciliation or report for review.
View banks, wallets, custodians and exchanges together across fiat, stablecoins and digital assets.
Normalize and classify activity across rails, match transfers and produce a clean structured export for accounting.
Screen onchain transactions before broadcast and route approvals by amount, asset, counterparty and policy. Fiat activity raises alerts.
Build board, investor, auditor and regulator reporting from the same ledger used for daily operations.
Range products
Unify
Real-time balances and positions across banks, wallets, custodians and exchanges.
Unify
Normalized and classified activity across fiat and stablecoin rails.
Unify
One customer, vendor or partner across wallet, exchange and bank identifiers.
Unify
Board, investor, auditor and regulator reporting from the same ledger.
Protect
Pre-execution controls on onchain payments, with alerts on fiat activity.
Protect
Continuous visibility across asset, custody, chain, protocol and FX exposure.
How it works
01
Connect banks, wallets, custodians, exchanges, supported networks and accounting tools.
02
Add approval rules, counterparty whitelists, exposure limits and reporting requirements.
03
Classify transactions, match movements across rails and apply controls before onchain broadcast.
04
A Range workflow gathers the matched activity, applies reporting policy, surfaces exceptions and prepares the treasury, board or audit output. Range can then export structured data 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.

More questions on finance, see the full FAQ.
Review how Range gives finance teams current balances, reconciliation, controls and reporting across stablecoins and fiat.