Clearing and Custody

APAC & International Settlement Infrastructure

Clearing & Custody

Client Base

Professional and Institutional Clients

Post-trade settlement across equity, fixed income and derivative markets spanning APAC and global exchanges

Safekeeping and protection of client assets through established relationships with recognised custodians across regional and international markets

Settlement and custody support across multiple jurisdictions, including developed and emerging APAC markets

  • Post-trade clearing and settlement services
  • Custody and asset safekeeping
  • Professional and institutional clients
  • Straight-through processing infrastructure
  • SFC-regulated framework

Settlement & Asset Servicing

Services are delivered through established clearing systems, custodial relationships and operational workflows, supporting consistent settlement, asset safekeeping and post-trade handling across APAC and international markets.

Services are delivered on an execution-only basis, focusing on clearing, settlement and custody rather than investment advice or discretionary management. Clients use the service to execute and settle transactions across equities, fixed income and derivatives, with all activity handled through regulatory defined processes.

The firm works with recognised custodians and counterparties to maintain asset protection, accuracy and control across multiple jurisdictions. Straight-through processing and structured workflows support consistency, transparency and operational oversight.

Clients receive reporting and reconciliation outputs providing clear visibility across settlement activity, supporting internal monitoring and control.

Settlement Infrastructure

Clearing and settlement across APAC and international financial markets

Custody & Asset Safekeeping

Custody arrangements through recognised tier 1 custodial partners

Post-Trade Reporting

Reporting, reconciliation and transaction-level visibility

Operational Resilience

Structured processes supporting consistency and control

Market Coverage

Settlement and custody across multiple jurisdictions

  • Client accounts are established through structured onboarding and jurisdictional requirements.
  • Settlement activity is processed through established counterparties and custodial relationships.
  • Operational workflows support reconciliation, reporting and post-trade monitoring.
  • Ongoing support is maintained throughout the client relationship.
  • The service operates under Securities and Futures Commission (SFC) regulatory permissions
  • Execution-only framework with defined operational boundaries.
  • Controls support asset protection, settlement accuracy and regulatory alignment
  • Processes are reviewed in line with regulatory and market developments

Speak To The Service Team

If you would like to discuss Clearing, Custody & Dematerialisation or speak directly with the service lead, please contact us.