We architect and develop custom blockchain solutions from the ground up, delivering production-ready applications in 4-8 weeks. Our full-stack approach covers everything from smart contract logic to user-facing dApps.
Tax-Smart Rebalancing for Payment Treasury Reserves
Custom Blockchain Development
Build secure, scalable blockchain applications tailored to your specific business logic and market needs.
Move from concept to a live, secure mainnet deployment with a dedicated team of protocol-level experts.
- Core Protocol Development: Custom
L1/L2chains, consensus mechanisms, and cross-chain bridges. - Smart Contract Suites: Audited
Solidity/Rustcontracts for DeFi, NFTs, DAOs, and enterprise logic. - Full dApp Stack: Frontends (
React/Next.js), backends (Node.js), and secure wallet integration. - Guaranteed Outcomes: 99.9% uptime SLA, formal verification, and post-deployment support.
Core Capabilities of Our Tax-Smart Rebalancing
Our platform automates the complex logic of tax-aware treasury management, turning regulatory compliance into a competitive advantage. We deliver measurable improvements in after-tax yield and operational efficiency.
Automated Wash Sale Prevention
Real-time transaction monitoring and automated rule enforcement to prevent wash sales across your entire portfolio, ensuring strict compliance with IRS regulations and protecting your tax position.
Tax-Loss Harvesting Engine
Algorithmic identification and execution of tax-loss harvesting opportunities. Our engine optimizes for both immediate tax savings and long-term portfolio health, automatically generating offsetting gains.
Multi-Chain Cost Basis Tracking
Unified, auditable ledger for cost basis across Ethereum, Solana, and Layer-2s. Automatically calculates and reports realized/unrealized gains for any asset, simplifying year-end accounting.
Portfolio Rebalancing with Tax Impact
Dynamic rebalancing that factors in the tax consequences of every trade. Our models minimize tax liability while maintaining target allocations, preserving more of your treasury's value.
Regulatory Reporting & Audit Trail
Automated generation of Form 8949 and Schedule D precursors, with a complete, immutable audit trail for every calculation. Streamline your tax filing and withstand any regulatory scrutiny.
Custom Rule Engine & Policy Suite
Define and enforce your organization's specific treasury management policies (e.g., minimum holding periods, blacklisted assets) directly within the automated rebalancing logic.
Business Outcomes: Beyond Automated Rebalancing
Our tax-smart rebalancing engine delivers measurable financial and operational advantages, transforming your payment treasury from a cost center into a strategic asset.
Maximized After-Tax Yield
Our algorithms optimize for post-tax returns, not just nominal APY. We integrate real-time tax lot accounting to minimize capital gains liabilities on every rebalance, directly boosting your net treasury income.
Regulatory & Audit Readiness
Automated, immutable logs for every transaction and tax calculation. Generate compliant reports for GAAP/IFRS, IRS Form 8949, and internal audits in minutes, not days. Built-in controls for SOX and financial governance.
Reduced Operational Overhead
Eliminate manual spreadsheet tracking and reconciliation. Our system automates portfolio tracking, tax harvesting, and reporting, freeing your finance team to focus on strategy rather than data entry.
Enhanced Capital Efficiency
Maintain optimal liquidity for payments without over-allocating to low-yield stablecoins. Our engine dynamically adjusts reserves based on payment forecasts and yield opportunities, improving your working capital ratio.
Institutional-Grade Security
Non-custodial architecture with multi-sig governance. All smart contracts are audited by leading security firms. Enterprise-grade SLAs ensure your treasury operations are protected and always available.
Scalable Infrastructure
Designed for growth. Seamlessly handle from millions to billions in TVL. Our system supports multi-chain strategies and integrates with your existing ERP, payment processors, and accounting software via API.
Tax-Smart Rebalancing vs. Manual Management
A direct comparison of the operational, financial, and compliance outcomes between automated, on-chain rebalancing and traditional manual treasury management for payment reserves.
| Key Factor | Manual Treasury Management | Chainscore Tax-Smart Rebalancing |
|---|---|---|
Time to Rebalance | Days (manual approvals, CEX transfers) | Minutes (automated, on-chain execution) |
Tax-Loss Harvesting Efficiency | Low (reactive, missed opportunities) | High (algorithmic, real-time optimization) |
Operational Cost (Annual) | $100K-$300K+ (FTE, tools, errors) | $50K-$150K (predictable SaaS) |
Settlement & Counterparty Risk | High (custodial exchanges, bank hours) | Minimal (non-custodial, 24/7 DeFi) |
Compliance & Reporting | Manual reconciliation, audit trail gaps | Immutable on-chain ledger, automated reports |
Portfolio Drift Tolerance | High (infrequent adjustments) | < 1% (continuous rebalancing) |
Implementation Timeline | 3-6 months (build internal system) | 2-4 weeks (integrate API/SDK) |
Security Posture | Varies (internal controls) | Enterprise-grade (audited smart contracts, MPC) |
Our Implementation & Management Process
We deliver a turnkey solution for tax-optimized treasury management, from initial strategy to automated execution. Our structured process ensures security, compliance, and measurable financial outcomes.
Strategy & Architecture Design
We analyze your treasury composition and risk profile to design a custom rebalancing strategy. This includes defining tax-loss harvesting triggers, slippage tolerances, and compliance guardrails for your specific jurisdiction.
Smart Contract Development & Audit
Our team builds the secure, gas-optimized smart contracts that power your automated strategy. Every contract undergoes rigorous internal review and is submitted for a formal audit by a leading security firm before deployment.
Secure Deployment & Integration
We manage the full deployment lifecycle on your chosen blockchain (Ethereum, Polygon, Arbitrum, etc.) and integrate with your existing custody solution (Fireblocks, Copper) and accounting systems for seamless operations.
24/7 Monitoring & Proactive Management
Our system provides real-time dashboards and alerts for portfolio performance, tax event tracking, and gas fee optimization. We offer ongoing strategy tuning based on market conditions and regulatory updates.
Compliance & Reporting Automation
Automatically generate detailed reports for capital gains, losses, and cost-basis tracking. Our system is designed to maintain an immutable audit trail, simplifying year-end tax filing and regulatory compliance.
Continuous Optimization & Support
We provide dedicated technical support and quarterly strategy reviews. Our team continuously optimizes execution logic for gas efficiency and explores new DeFi protocols to enhance yield within your risk parameters.
Smart Contract Development
Secure, production-ready smart contracts built by Web3 experts for your dApp or protocol.
We architect and deploy custom smart contracts that form the secure, immutable backbone of your application. Our development process is built on audited patterns and gas optimization to ensure reliability and cost-efficiency from day one.
- Security-First Development: Code written in
Solidity 0.8+usingOpenZeppelinlibraries, with internal audits before deployment. - Protocol Specialization: Expertise in
ERC-20,ERC-721,ERC-1155, DeFi primitives, and custom logic for DAOs or marketplaces. - Full Lifecycle Support: From initial design and testing (
Hardhat/Foundry) to deployment, verification, and ongoing maintenance on your chosen chain.
Deliver a vetted, battle-tested contract suite in 2-4 weeks, reducing your technical risk and accelerating your path to mainnet.
Frequently Asked Questions
Get clear answers on how our automated treasury management service integrates with your payment operations.
Our system continuously monitors your on-chain payment treasury reserves. Using real-time price feeds and a proprietary algorithm, it identifies opportunities to rebalance assets in a tax-efficient manner. The core logic prioritizes using assets with the highest cost basis for outgoing payments and rebalances the portfolio by selling assets with the lowest cost basis first, minimizing your realized capital gains. All transactions are executed via secure, audited smart contracts, and detailed reports are generated for your accounting team.
Get In Touch
today.
Our experts will offer a free quote and a 30min call to discuss your project.