Issuer portal
Where a token issuer signs in to configure and issue their own tokenized assets. Listing details, catalog status, and compliance metadata. Currently in build and role-gated.
The Issuer portal is where a token issuer signs in and configures their own tokenized assets: listing details, catalog status, and compliance metadata. Issuers are the parties behind an instrument's regulatory identity (ISIN, suitability profile, documents) and its listing in the catalog.
This overview is public. The detailed issuer pages are role-gated: sign in with an account that has the issuer role and they appear in the sidebar (and unlock). Everyone else sees this overview only.
Currently in build
The issuer portal itself is currently in build. The gated pages below describe the intended flow and will fill in as it ships.
The issuer journey
What the portal will cover
Listing an asset
Bring an instrument to market: regulatory identity, the tradable listing (asset pair), eligibility and per-tier limits, country gating, and supporting documents.
Catalog status
Manage a listing's lifecycle: active and trade-enabled flags, visibility, and how a token's status reaches the partners who distribute it.
Compliance metadata
What an issuer is responsible for, and how it interacts with Assetera's own MiFID and AML controls.
Why it's role-gated
Issuer operations touch listing controls and compliance-relevant configuration, so the detailed documentation is scoped to onboarded issuers only. Under Assetera's tenancy model your identity carries your tenant and your roles; when the issuer role is present, the full portal documentation becomes visible to you here.
In the meantime
What Assetera is
The regulated brokerage and RWA exchange, who it's for, and the products it offers.
Integrating with Assetera
How a tenant connects to the multi-tenant Marketplace API: the two integration modes.
Authentication
Standards-based OIDC, the tenant claim, and how roles ride on the identity token.