The idea
Assets protected. Transactions facilitated. Confidence documented.
Custody and escrow are where trust becomes operational. Investors and counterparties need to know assets are held and released under clear, enforceable conditions.
We design and coordinate custody and escrow arrangements that protect assets, facilitate transactions, and stand up to institutional scrutiny.
What you get

Custody coordination
Arrangements with recognised custodians aligned to the fund’s asset profile.
Escrow structures
Conditioned holding and release mechanics for acquisitions and multi-party deals.
Counterparty confidence
Clear documentation of who holds what, when, and under which triggers.
Operational integration
Tied into banking, administration, and governance rather than left as a side letter.
The path
How it typically unfolds
- 01
Asset & deal map
Identify what must be custodied or escrowed and why.
- 02
Provider & terms
Select arrangements and document release conditions.
- 03
Go live
Open accounts, fund arrangements, and connect reporting.
- 04
Operate & release
Manage ongoing custody and conditioned releases through the deal lifecycle.
Built for
- Funds holding institutional assets
- Acquisition and co-invest vehicles
- Structured transaction parties
- Sponsors needing investor comfort on asset protection
What changes for you
- Clear asset protection narrative for LPs
- Conditioned releases that reduce deal friction
- Custody integrated with fund operations
- Documentation counterparties accept


