We architect and deploy battle-tested smart contracts that form the foundation of your application. Our development process ensures security-first design, gas optimization, and comprehensive audit readiness from day one.
Tokenized Fund Administration Tooling
Smart Contract Development
Secure, production-ready smart contracts built by Web3 experts to power your protocol.
- Custom Logic: Tailored
Solidity 0.8+contracts for DeFi, NFTs, DAOs, and enterprise use cases. - Security Standards: Implementation of
OpenZeppelinlibraries and industry best practices. - Full Lifecycle: From initial spec to mainnet deployment and post-launch maintenance.
- Deliverables: Production-ready code, technical documentation, and deployment scripts.
Reduce your time-to-market by weeks with our proven development framework and avoid costly security vulnerabilities.
Core Capabilities of Our Administration Suite
Our modular suite automates the operational complexity of tokenized funds, reducing manual overhead by 70% and ensuring regulatory compliance across jurisdictions.
Business Outcomes for Fund Administrators
Our tokenized fund administration tooling delivers measurable results, from operational efficiency to investor confidence. Built on verifiable security and compliance standards.
Automated On-Chain NAV Calculation
Real-time Net Asset Value calculations directly from blockchain data, eliminating manual reconciliation and reducing reporting latency from days to minutes.
Regulatory Compliance by Design
Pre-built modules for KYC/AML, accredited investor verification, and transfer restrictions (ERC-1400/ERC-3643) to ensure fund operations meet global standards.
Investor Portal & Self-Service
White-labeled investor dashboards for real-time portfolio tracking, automated distributions, and document access, reducing administrative inquiries by over 70%.
Secure Multi-Chain Fund Deployment
Deploy and manage tokenized funds across Ethereum, Polygon, and Avalanche with unified administration, ensuring broad investor access and optimal transaction costs.
Audit-Ready Transaction Ledger
Immutable, timestamped record of all subscriptions, redemptions, and transfers, providing a single source of truth for annual audits and regulatory reviews.
Programmable Distribution Waterfalls
Automate complex profit-sharing and carried interest calculations with smart contract-enforced waterfalls, ensuring accurate, timely, and transparent payouts to LPs and GPs.
Build vs. Buy: Admin Tooling for Tokenized Funds
A detailed comparison of the costs, risks, and timeframes associated with developing tokenized fund administration infrastructure in-house versus partnering with Chainscore Labs.
| Factor | Build In-House | Chainscore Managed Service |
|---|---|---|
Time to Market | 6-12 months | 4-8 weeks |
Initial Development Cost | $150K - $400K+ | $50K - $150K |
Security Audit & Risk | High (custom, unaudited code) | Low (pre-audited, battle-tested modules) |
Ongoing Maintenance & DevOps | Requires dedicated 2-3 engineers | Fully managed with 99.9% SLA |
Regulatory Compliance Features | Custom build required | Pre-built for SEC, MiCA, FATF Travel Rule |
Investor Portal & Reporting | Separate project, 3-6 months | Included, white-labeled |
Smart Contract Upgradability | Complex custom implementation | Built-in, secure upgrade patterns |
Total Cost of Ownership (Year 1) | $300K - $700K+ | $80K - $200K |
Expertise Required | Solidity, DeFi, Security, Legal | Your team focuses on fund strategy |
Our Delivery Methodology
We deliver secure, compliant, and scalable tokenized fund tooling through a structured, transparent process designed for institutional-grade results.
Discovery & Architecture
We begin with a deep technical and regulatory analysis to design a system architecture that meets your specific fund model (e.g., ERC-3643, ERC-1400) and jurisdiction. This phase defines clear technical specifications and compliance guardrails.
Secure Smart Contract Development
Our team builds your core fund tokenization logic using battle-tested libraries like OpenZeppelin. Every contract undergoes our internal security review before deployment, ensuring robust on-chain fund operations.
Admin Dashboard & Integration
We develop a custom admin dashboard for investor onboarding (KYC/AML), cap table management, and distribution automation. We integrate with your existing systems (CRM, accounting) via secure APIs.
Staged Deployment & Testing
We deploy to a testnet (Goerli, Sepolia) for final validation, followed by a phased mainnet rollout. This includes dry runs of investor flows, distribution cycles, and emergency procedure testing.
Ongoing Support & Evolution
Post-launch, we provide monitoring, maintenance, and upgrade support. We help you scale the platform with new features like secondary market integrations or additional compliance modules.
Frequently Asked Questions
Answers to common technical and operational questions about our custom fund administration tooling for Web3.
For a standard deployment with core features (investor onboarding, capital calls, NAV calculation, distributions), the typical timeline is 6-10 weeks from kickoff to mainnet launch. Complex integrations with existing back-office systems or multi-jurisdiction compliance modules can extend this to 12-16 weeks. We provide a detailed project plan with weekly milestones during the discovery phase.
Get In Touch
today.
Our experts will offer a free quote and a 30min call to discuss your project.