The part your users never see, and can’t afford you to get wrong
Custody and settlement are invisible when they work and catastrophic when they don’t. They’re also the first thing a serious partner, auditor, or regulator will ask you about.
What it takes without pyPSX
Holding client assets means safekeeping through CDC, settling every trade through NCCPL on the T+1 cycle, reconciling positions daily, and producing statements that tie out to the rupee. It’s an operations and compliance discipline in its own right, not something to bolt on late.
What the Broker API handles
- Custody, client assets held through CDC, segregated and tracked.
- Settlement, T+1 settlement via NCCPL, reconciled automatically.
- Daily position reconciliation, balances that always tie out.
- Statements & audit trail, records built for diligence.
You get a custody and settlement backbone you can point auditors and partners at.
In development with design partners; sandbox coming soon. Tell us about your compliance and reporting needs.