Compliant onramp/offramp, OTC conversion, and settlement—built for scale

Compliance-first pay-ins, payouts & settlement rails

OTC · On/off-ramp · enterprise VCC—with KYC/AML, risk controls, and audit-ready reporting.

Core services

Compliant pay-ins, conversion & settlement for partners

Under our US MSB framework, we support payment, conversion, and settlement programs for businesses and partners. Scope and availability follow contracts and compliance onboarding.

VCC & corporate programs

Where permitted, virtual card and spend programs for enterprises—defined in your commercial agreement.

OTC & liquidity

Large-size OTC quoting and conversion for eligible counterparties, with clear reconciliation and settlement cadence.

Onramp / Offramp

Compliant fiat-to-digital asset flows; rails and limits reflect regional regulation and our risk review.

Global pay-ins & payouts

Multi-currency collections, batch payouts, and status tracking with audit-friendly exports.

VCC OTC Onramp Offramp

Capabilities

Products

Modular building blocks for institutions and partners—deployed in line with compliance review and agreements.

Module 01

OTC Conversion

Convert fiat, stablecoins, and major assets via API or console—with reconciliation exports for finance.

Module 02

Payment Links

Low-code pay-in links for brokers and partners; status notifications and webhooks supported.

Module 03

Global Settlement

Multi-rail routing and redundancy, payout tracking, and multi-currency settlement cadences.

Who we serve

Use cases

Institutions & Platforms

Operational OTC, settlement, and reconciliation exports designed for multi-region, multi-currency treasury teams.

Request integration review →

Partners & Brokers

Payment links, callbacks, and risk-aligned workflows so partners can launch quickly under compliance guardrails.

Get a demo →

Trust

Compliance & Security

MSB

FinCEN MSB registration

Entity: Girder Global Inc
MSB Registration No.: 31000325661332
1500 N GRANT ST #6012, Denver, CO 80203

KYC / AML

Workflows & screening

  • ·KYC/KYB flows and tiered reviews
  • ·Sanctions and blacklist screening
  • ·Transaction monitoring and case management

Audit

Audit trails

  • ·Critical actions logged
  • ·Reconciliation and reporting exports
  • ·Access control and change logs

Risk note: This page is for product and process illustration only and does not constitute legal or regulatory advice.

How it works

Flow

A typical path from quote to settlement—aligned with how operations and treasury teams think.

1

Quote

Show pricing, fees, and expected settlement timing.

2

Select rails

Choose rails by region and currency.

3

Verify

KYC/risk checks and manual review when required.

4

Settle

Settlement, status updates, and exports for reconciliation.

Contact

Send your request and we’ll respond within one business day.

By submitting, you consent to follow-up by email regarding your inquiry.