BrynCap trading and custody infrastructure overview
Platform Features

Every feature built for control, clarity, and consistency

BrynCap combines execution infrastructure, custody safeguards, and reporting tools into one platform — designed for investors who want to understand exactly what they hold and why.

Open Account

The building blocks of a disciplined portfolio

Each feature below addresses a specific point of friction in digital asset investing — access, custody, allocation, and visibility.

Segregated Custody

Client assets are held in structurally separate accounts from operating funds, reducing exposure to platform-level risk.

Rules-Based Allocation

Portfolios are built and rebalanced according to predefined criteria, not discretionary calls made under pressure.

Transparent Reporting

Position-level statements and transaction history are available on demand, with no delay between action and record.

Withdrawal Access

Funds and positions can be moved or redeemed according to published account terms, without hidden lock-up clauses.

BrynCap account dashboard and reporting layer

One account, a full view of your position

Instead of piecing together data from wallets, exchanges, and spreadsheets, BrynCap consolidates holdings, cost basis, and allocation drift into a single account view. You see what changed, when, and why — before it becomes a surprise.

Reporting is generated directly from ledger activity, not summarised after the fact. What you see reflects the underlying transaction record.

Structured pathways in and out of positions

Entry and exit are treated as part of the same process, not an afterthought. Every allocation carries a defined path back to cash, reviewed before capital is committed rather than during a market event.

01 Capital is received and verified against account instructions.
02 Allocation is executed against the account's stated strategy.
03 Positions are monitored against rebalancing and exit thresholds.
04 Redemption requests are processed under published account terms.

From account opening to first report

STEP 01

Open an account

Complete verification and set your account parameters, including risk tolerance and reporting preferences.

STEP 02

Fund your position

Transfer capital according to instructions provided at account setup, tracked from the moment it's received.

STEP 03

Allocation is applied

Capital is deployed according to the strategy tied to your account tier and stated objectives.

STEP 04

Monitor and adjust

Review statements, request changes within policy limits, or initiate withdrawal per your account terms.

How the features come together

Know your exposure without asking

Every account shows current allocation against target weights, so drift is visible before it requires a manual review request.

Illustrative allocation snapshot — not indicative of returns

Redemption rules set before you commit

Withdrawal windows and notice periods are disclosed at account opening, not introduced later as conditions change.

Illustrative redemption cycle — subject to account terms

Statements that match the ledger

Reports are pulled directly from transaction records, reducing the gap between what's reported and what actually happened.

Illustrative reporting cadence — for demonstration only

See these features on your own account

Open an account with BrynCap to access segregated custody, rules-based allocation, and reporting built from the ledger up.

Read the FAQ for account and withdrawal details