Issuance lifecycle automation, investor subscriptions, dividend/pay-out management, Shariah compliance support.
Collect and manage SUKUK subscriptions from eligible investors across retail and institutional categories. Configurable for fixed-income or tranche-based offerings.
Ensure investor eligibility with automated checks against regulatory qualifications, investor types (e.g., QFIs, high-net-worth individuals, institutions), and subscription limits.
Integrated with national KYC registries, AML/PEP screening engines, and investor identity databases to ensure full onboarding compliance.
Connect to payment systems or use virtual IBANs to confirm funds, reconcile transactions, and enable auto-refund for failed or excess subscriptions.
Track investor behavior, engagement, and past participation through CRM integration, enabling personalized communication and relationship management.
Support investor subscriptions through web portals, mobile apps, APIs, and physical branches with centralized data consolidation.
Seamless connectivity with Stock Exchange platforms and Lead Manager systems for bid relay, allocation updates, and regulatory coordination.
Ensure real-time data flow between subscription platform and your core systems for accounting, audit, document management, and reporting.
Manage allocation logic, over-subscription adjustments, and generate accurate refund instructions with payment tracking and audit trail.
Send real-time SMS/email notifications for subscription receipt, payment confirmation, qualification status, allocation outcomes, and refund disbursement.
Our AI-enabled solutions enhance both investor and back-office operations with intelligent automation. Investor portals feature AI agents that provide 24/7 personalized support for onboarding, subscriptions, and queries.
Efficient fund operations, investor confidence, enhanced visibility for issuers and advisors.
Offer a seamless and transparent experience to investors in accordance with Islamic finance principles and market regulations.
Streamline operations across collection, validation, allocation, and settlement, reducing TAT and manual effort.
Stay aligned with regulatory frameworks through embedded compliance checks, audit logs, and automated reporting tools.
Gain full visibility into real-time subscription data, investor qualification, fund flows, and allocation status through centralized dashboards.
Supports different SUKUK types, investor categories, and cross-border participation with flexible system configurations.
Contact us today to explore how our platform simplifies complex SUKUK operations with full compliance and investor satisfaction
