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FLORIS3

Technology

Technology is how we do it — not what we sell.

Clients come to FLORIS3 to raise capital. The infrastructure below is what makes that raise issuable, compliant, payable and distributable — without you assembling six vendors yourself.

The stack

Six layers between a project and a funded investor base.

Each layer is operated by us, integrated with your providers, or both. You choose how much you run yourself.

In practice

A typical mandate uses the full stack: the offering is issued, investors are onboarded and screened, funds settle in euro and stablecoin, holders are managed in one register, and distribution partners are connected through StexxMarkets.

See the integrations
01

Issuance

Turning a legal structure into a subscribable digital security.

  • Digital securities & token issuance
  • Cap table and register of holders
  • Multi-project, multi-tenant architecture
  • EVM issuance networks (Ethereum, Polygon, Base)
02

Onboarding & compliance

Admitting the right investors without stalling the raise.

  • Investor onboarding journeys
  • KYC / AML and sanctions screening
  • Eligibility, suitability and transfer rules
  • Full audit trails and role-based permissions
03

Money movement

Getting funds in, and distributions back out.

  • Card, SEPA and stablecoin settlement
  • Subscription and escrow flows
  • Distributions and payout runs
  • Reconciliation and reporting
04

Investor operations

Running the offering after the money arrives.

  • Investor portal and communications
  • Document vault and reporting packs
  • Custody and wallet integrations
  • Secondary-market integrations
05

Distribution

Extending the reach of an offering beyond your own network.

  • StexxMarkets distribution layer
  • Placement partners and marketplaces
  • Partner-facing offering data
  • Campaign and conversion tracking
06

Extensibility

Fitting into what you already run.

  • APIs and webhooks
  • White-label front ends
  • Bring-your-own providers
  • Data export and analytics

Principles

How we decide what to build and what to integrate.

Compliance is a control, not a checkbox

Eligibility, transfer restrictions and reporting are enforced in the system, not managed in spreadsheets after the fact.

Proven rails over novel rails

We use established issuance networks, custodians and payment providers so the raise does not depend on unproven infrastructure.

Modular by default

Every layer can be replaced with your provider. You are never forced into a stack you did not choose.

Built for many projects

The same infrastructure carries one offering or a portfolio of them — which is what makes the Multiply path possible.

Capabilities

Everything available out of the box.

No custom build required to launch a compliant offering.

  • Digital securities & token issuance
  • Investor onboarding and KYC / AML
  • Compliance and transfer workflows
  • Payment rails and settlement
  • Investor management and distributions
  • Reporting, audit trails and APIs
  • Wallet, custody and secondary-market integrations
  • White-label, multi-project infrastructure

Security & control

Institutional expectations, by default.

  • Role-based permissions and segregation of duties
  • Immutable audit trail on every investor action
  • Data residency and GDPR-aligned processing
  • Custody through regulated partners or self-custody
  • Documented processes for regulator and auditor review

The raise comes first. The technology makes it work.

Tell us about your project and we will show you exactly which layers you need — and which you already have.