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Tokenization Delivery Services

Tokenization Platform Development Services

Gizmolab helps issuers, fintech teams, and asset operators design, build, and launch tokenization platforms that are usable in production — from onboarding and issuance through transfer controls, investor servicing, admin operations, and treasury-connected settlement flows.

Who This Is For

Founders turning a tokenization concept into a scoped MVP and launch plan
Asset issuers that need more than smart contracts, including investor onboarding and operations
Fintech and wealth platforms adding tokenized products to an existing customer experience
Teams replacing spreadsheets and manual investor operations with a controlled platform workflow
Operators launching tokenized funds, private credit, treasury, or other permissioned asset products
Platforms that need stablecoin subscription, payout, or treasury-adjacent payment rails around issuance

What We Build

Tokenization platforms need more than issuance logic. We build the workflows, controls, and operational systems that help a launch hold up in production.

Issuance Workflow Design

We build the operational path from offering setup to token minting, allocations, approvals, and post-issuance state management so launch is not dependent on manual handoffs.

Investor Onboarding & Eligibility

KYC, KYB, AML, accreditation, suitability, and jurisdiction-aware rules can be tied directly to account permissions, wallet approval states, and investment access.

Transfer Controls & Permissioning

Implement whitelists, lockups, holder rules, wallet controls, and exception handling so token movement reflects the operating model defined by legal and compliance stakeholders.

Investor Portal & Subscription UX

Deliver buyer-facing product pages, subscription flows, holdings visibility, document access, notices, and account workflows that make the platform usable for real investors.

Issuer Admin & Operations Console

Back-office tooling for investor review, cap table visibility, document management, approval queues, servicing tasks, reporting exports, and transfer override workflows.

Treasury & Payment-Adjacent Rails

Scope stablecoin subscription, redemptions, payouts, settlement tracking, and treasury-connected payment flows where the tokenization product depends on money movement.

Lifecycle Servicing Workflows

Support redemptions, distributions, notices, document acknowledgments, and ongoing asset servicing so the platform works after issuance instead of stopping at launch.

Launch Execution & Environment Readiness

We help teams move from requirements to release with scoped delivery, integration planning, testing support, admin readiness, and production-oriented workflow design.

Core Platform Features

1

Offering setup and issuance workflow design

2

Investor onboarding and eligibility controls

3

Wallet approval states and holder permissions

4

Subscription and document acceptance flows

5

Transfer restrictions and exception handling

6

Investor portal and issuer admin tooling

7

Reporting, audit history, and lifecycle servicing

8

Treasury-connected payment and settlement flows where needed

Technical Architecture

01

Product Experience Layer

  • Investor portal, subscription journeys, holdings views, and notices
  • Issuer and admin console for approvals, documents, and servicing tasks
  • Role-based interfaces for operations, support, and compliance review
02

Workflow & Backend Services

  • Offering configuration, issuance orchestration, and state management
  • Eligibility, wallet status, document, notification, and reporting services
  • Lifecycle workflows for subscriptions, transfers, redemptions, and distributions
03

Token & Control Layer

  • Token issuance contracts or standards aligned to the product model
  • Transfer restrictions, holder permissions, supply controls, and lockups
  • Hooks for servicing actions such as mint, burn, redemption, or payout events
04

Compliance & Operations Layer

  • KYC, KYB, and AML integrations with review states
  • Audit trails, disclosure acceptance, and exception handling
  • Operational controls that map platform actions to approved process rules
05

Treasury, Data & Integration Layer

  • Stablecoin or payment-rail integrations where needed
  • Blockchain indexing, ledger synchronization, and reporting exports
  • Monitoring for workflow failures, transfer issues, and servicing events

Compliance & Regulatory Note

Tokenization products can involve securities analysis, licensing decisions, investor eligibility rules, transfer restrictions, and operational controls that must be defined by qualified legal and compliance partners. Gizmolab does not provide legal, securities, or regulatory advice. We build the software layer and implement the technical workflows, permissions, reporting, and servicing controls needed to support the approved operating model.

Build Scope

MVP Scope

A focused first build that delivers core value.

  • 1
    Single asset or offering type
  • 2
    Investor onboarding with verification handoffs
  • 3
    One subscription and issuance workflow
  • 4
    Baseline token issuance and transfer-control logic
  • 5
    Investor portal with holdings, documents, and notices
  • 6
    Admin console for review, approvals, and holder visibility
  • 7
    Basic reporting, audit history, and servicing actions
Advanced Features

Capabilities to add once the core is live.

  • Multi-asset issuance and segmentation
  • Secondary transfer or marketplace workflows
  • Stablecoin subscription, redemption, and payout automation
  • Institutional permissions and multi-role operations
  • Expanded compliance logic across jurisdictions
  • Deeper cap table analytics, reporting, and export pipelines
  • Custody, fund admin, or internal system integrations
  • Lifecycle automation for notices, distributions, and exceptions

Why Work With Us

We build the operating system around tokenization

The product is not just issuance logic. We scope investor access, admin tooling, approvals, servicing, and operator workflows as part of the same system.

BOFU-friendly scoping discipline

We help buyers turn broad tokenization requirements into a concrete build scope with clear MVP boundaries instead of an open-ended discovery exercise.

Compliance-aware implementation

We do not provide legal advice, but we structure the technical controls so onboarding, permissions, records, and movement rules can reflect the approved operating model.

Treasury and payment-rail context

Where tokenization depends on subscriptions, payouts, redemptions, or stablecoin settlement, we can design the surrounding money-movement workflows too.

Operator-facing product delivery

Internal teams need review queues, reporting, document controls, and exception handling. We build for issuer operations, not only for the external investor view.

Built for launch and extension

We keep the MVP narrow enough to ship while leaving room for later additions such as multi-asset support, secondary transfers, deeper reporting, and automation.

Frequently Asked Questions

What is included in tokenization platform development services?
Typically: product scoping, issuance workflows, investor onboarding, transfer controls, investor-facing flows, admin tooling, reporting, lifecycle servicing, and the integrations required to operate the platform in production.
Do you only handle smart contracts?
No. Smart contracts are one layer of the build. We focus on the full platform around them, including product UX, backend services, investor operations, admin tooling, and workflow orchestration.
Can you build for different tokenized asset models?
Yes. The platform pattern can support funds, private credit, treasury products, real estate, and other tokenized asset structures. The exact workflow depends on the asset, user roles, and operating requirements.
Can the platform support stablecoin subscriptions or payouts?
Yes, where appropriate. We can scope subscription, settlement tracking, payout, redemption, or treasury-connected stablecoin flows as part of the broader product.
Do you provide legal or regulatory services?
No. Legal structuring, securities analysis, licensing, and regulatory advice must come from qualified counsel and compliance partners. Gizmolab builds the technology layer around the approved model.
What does a realistic MVP look like?
Usually one asset type, one onboarding flow, one issuance path, baseline transfer controls, investor account visibility, and the minimum admin tooling needed to operate safely at launch.

Book a Tokenization Platform Scoping Call

If your team is evaluating tokenization platform development services, we can help define the launch-critical workflows, MVP scope, technical architecture, and delivery path.