Fiat ↔ crypto conversion
Pricing via licensed exchange and OTC partners, transparent on spread and slippage.
On-ramps, off-ramps and institutional liquidity access, delivered to the governance standards traditional finance demands.
Institutions engaging with digital assets no longer need to choose between access and governance. We provide a dedicated corporate digital-asset account alongside regulated exchange venues, liquidity providers and custodial partners, built to the compliance and risk-control expectations of regulated finance.
We sit between your treasury and the digital-asset ecosystem: one relationship covering the account you hold, the venues you access and the custody you rely on, with the documentation a Swiss advisory relationship is expected to produce.
Each component is delivered through regulated counterparties and documented to the standards your auditors and regulators expect from a traditional-finance service.
Pricing via licensed exchange and OTC partners, transparent on spread and slippage.
Deep books for major assets; RFQ execution for larger blocks, with settlement documented to audit standard.
Structured introduction to qualified custodians running multi-sig, MPC and cold-storage architectures.
Advisory on asset structuring, issuance, and lifecycle operations for digital-asset products.
A unified view of fiat and digital holdings, valuations, and exposure across entities.
Compliance sits inside every flow. Reporting aligned to your regulator and your auditor.
Hold fiat and major digital assets in a single dedicated account, with custody at qualified third-party custodians.
Outbound and inbound transfers across multiple cryptocurrencies and fiat currencies worldwide, from one dashboard.
Role-based permissions, approval workflows, and segregated access for treasury, finance, and audit teams.
Downloadable statements, transaction histories and contract records, formatted for your treasury, accounting and audit systems.
A single view of balances, flows and counterparties across fiat and digital holdings, coordinated with your wider SQF relationship.
KYB onboarding, AML monitoring and travel-rule handling embedded in the account, delivered through licensed VASP partners.
We do not operate an exchange. We provide structured access to regulated exchange venues and OTC desks through licensed partnerships, with the execution quality and documentation that institutional mandates require.
Swiss Quantum Finance maintains curated relationships with a panel of regulated exchange venues, licensed OTC desks and institutional liquidity providers. Access is structured through a relationship mandate.
Every execution is documented: counterparty identity, venue, timestamp, price, and settlement route are recorded to audit standard. Post-trade reporting is delivered in formats compatible with standard treasury and accounting systems.
For larger transactions, RFQ (request for quote) execution runs across several liquidity providers at once, which produces a full audit trail instead of a single-venue fill.
Holding digital-asset reserves or accepting them in payment as part of operating policy.
With crypto-native allocations that need regulated access and audit-ready reporting.
Building digital-asset products, from structuring through lifecycle operations.
Seeking institutional on-ramps with the discretion of a Swiss advisory relationship.
We define what the relationship covers: conversion, custody coordination, analytics, or structuring.
We introduce the specific regulated counterparties that fit your jurisdiction and risk profile.
We document governance, reporting, and reconciliation with your existing treasury and audit processes.
Every initial conversation is private and without obligation.
Swiss Quantum Finance AG operates as a financial intermediary affiliated with SO-FIT, a self-regulatory organisation recognised under the Swiss Anti-Money Laundering Act (AMLA). Where client assets are held, they are kept with qualified third-party custodians and reconciled daily.