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Setmos coordinates access, dashboard workflows, token operations, reporting surfaces, and user experience. Product issuers, managers, administrators, custodians, compliance providers, and other service providers may retain specific responsibilities under product documents and operating agreements. Setmos investor access flow and custody structure

Role of Setmos

Setmos provides the access layer and client dashboard for approved users. Setmos may support onboarding workflows, wallet policy, reporting views, token operations, and product-level user experience. Setmos is not the issuer of all underlying products displayed in the dashboard.

Issuers and providers

Setmos launch products reference multiple issuers and providers, including WisdomTree, Maple Finance, Centrifuge, and Paxos-related market infrastructure. Product-level documents and issuer materials control final rights, obligations, risks, fees, liquidity, and redemption terms.

Custody model

Native product tokens are maintained through issuer-side or product-side arrangements. Set tokens on Stellar are supported by Setmos through third-party custody and operational providers.

On-chain and off-chain

LayerExample responsibility
On-chainSet token representation, wallet controls, transfer restrictions, USDC settlement flows
Off-chainKYC/AML, eligibility review, issuer records, fund administration, compliance review, reporting sources

Reporting and updates

The dashboard may display APY, fund size, settlement, network, price, and product status. Updates may come from issuer data, protocol data, fund documents, market data APIs, or Setmos-controlled reporting layers. Metrics may be delayed, rounded, estimated, or subject to source availability. Product documents control where a displayed metric conflicts with official reporting.