Classify on-chain activity across 50+ blockchains — transfers, staking, DeFi, and more. Generate statements, balance sheets, and cost basis reports. Push to your ERP with custom mappings.
Four things, done well.
Every on-chain event — transfers, staking rewards, DeFi interactions, gas fees, bridging — automatically classified using chain-aware rules. Not a generic transfer parser.
Generate financial statements and balance sheets from on-chain data. Real-time, exportable, and ready for your auditor or regulator.
Lot-level cost basis tracking across wallets and chains. FIFO, LIFO, HIFO, WAC, Spec ID — pick the method your jurisdiction or auditor requires.
Map transaction categories to your chart of accounts and push journal entries to your ERP. You define the mappings — we generate the output.
Import addresses or connect custodians. We ingest and normalize transactions across all chains in real time.
Transactions are classified by type (transfer, staking, swap, fee, etc.) and cost basis is computed automatically.
Download statements and reports, or push journal entries to your ERP with your custom account mappings.
Not just transfers. We understand the full range of on-chain activity.
Send, receive, internal transfers between own wallets — with automatic internal-transfer detection.
Delegation, staking rewards, restaking, slashing — booked correctly by chain and protocol.
Swaps, liquidity provision, lending, borrowing, yield farming — decomposed into accounting events.
Network fees, priority fees, L2 sequencer costs — tracked as operating expenses with proper allocation.
Cross-chain transfers classified as internal movements — cost basis follows the asset, not the chain.
Token airdrops, protocol grants, and governance distributions — classified with cost basis at receipt.
Track addresses, manage custody, and generate accounting output from the same system. No stitching vendors together.
We understand staking, DeFi, bridging, and gas fees natively — and classify them as the accounting events they actually are.
Define how transaction categories map to your chart of accounts. Push journal entries to your ERP in the format it expects.
Schedule a walkthrough. We'll model a real transaction flow from your business and show you the journal entries, reconciliation, and audit trail.