BRIDGE Intelligence
BRIDGEIntelligence

BRIDGE // Custody / Asset Managers

Custody built for
asset managers.

Hedge funds, asset managers, and family offices investing in digital assets need the same custody guarantees they expect from a prime broker — segregated assets, named approvers, audit-grade reporting, and integrations into the venues they actually trade on.

The institutional custody bar

Allocators are not asking custodians to be exchanges. They are asking for boring, predictable, auditable infrastructure that fits into their existing fund operating model.

Per-Fund
Segregated Wallets

Each fund and sub-account has its own segregated address structure with independent reporting.

Named
Approvers

Quorum policies attach to real, named individuals — not anonymous wallets.

T+0
Reconciliation

Daily NAV-grade reconciliation reports exportable in formats your fund admin already ingests.

What asset managers get

Bridge Custody is built to slot into the operational fabric you already use — your fund administrator, your prime broker, your auditor, your LP reporting templates.

Segregated wallets

Per-fund and per-strategy address segregation. No commingled balances anywhere in the stack.

Named approvers

Quorum policies attached to real individuals, with approval delays and per-asset caps.

Venue integrations

Pre-built integrations with major exchanges and OTC desks for trade settlement without leaving custody.

Fund admin reporting

Daily reconciliation files compatible with major fund administrators and audit firms.

LP reporting

Position, performance, and exposure reports formatted for LP communications and regulatory filings.

Insurance & SOC 2

Documented controls package, SOC 2 evidence, and references for insurance underwriters.

Standing up a digital asset fund?

Whether you are launching a digital asset strategy from scratch or migrating off a legacy custodian, talk to our funds team about how Bridge can support the operating model.