Infrastructure

Backend Capabilities Built for Gold-Backed Distribution

Operational clarity, physical backing, and system-level controls.

GBTgold provides the backend infrastructure that keeps gold-backed units stable, auditable, and convertible. Below is a clear view of how physical gold supply, issuance logic, conversion workflows, pricing controls, and partner reporting work together as a single system.

Gold Backing & Sourcing

Every unit maps to physical 999.9 gold held within controlled custody flows. Sourcing and allocation are designed for traceability and ongoing verification.

Backing

Allocated Physical Supply

Gold is allocated against issuance pools with unit-to-gram mapping maintained in the backing ledger.

Sourcing

Custody & Chain-of-Custody

Approved suppliers, custody workflows, and documentation keep physical sourcing aligned with issuance.

Unit Issuance Logic

Issuance is rule-based and tied to available allocation, with controlled limits and audit-ready tracking.

Rules

Allocation-Gated Issuance

Issuance capacity is linked to verified physical backing, preventing over-issuance or drift.

Traceability

Serialised Units

Each unit is serialized with QR verification and a recorded issuance event for auditing.

Controls

Program-Level Limits

Issuance caps, tranche controls, and partner parameters are applied before any units go live.

Conversion & Redemption Engine

Structured conversion rails and redemption workflows ensure units can be converted to physical gold or settled through approved partner mechanisms.

Conversion

Defined Conversion Rules

Clear unit-to-gram conversion logic with partner-defined thresholds and settlement windows.

Redemption

Physical Redemption Workflow

Verified units enter a redemption queue with custody checks, dispatch approvals, and status tracking.

Settlement

Partner Settlement Paths

Multiple settlement routes support partner-specific delivery, pickup, or regional fulfillment flows.

Pricing Feeds & Controls

Pricing is anchored to trusted reference feeds with configurable margins and governance around updates.

Feeds

Reference Pricing Inputs

Multi-source feeds inform unit valuation while maintaining a gold-anchored pricing baseline.

Controls

Update Governance

Rate updates pass through controls for volatility buffering, timing windows, and approvals.

Stability

Spread & Margin Logic

Partner-specific spreads, fees, and program rules are layered without compromising backing integrity.

Partner Reporting Capabilities

Reporting is designed for operational oversight and reconciliation without exposing sensitive customer data.

Reporting

Issuance & Inventory Views

Partners access unit balances, issuance activity, and redemption status at a high level.

Reconciliation

Audit-Ready Summaries

Structured summaries support reconciliation, compliance checks, and downstream reporting.

Scalability & System Integrity

The infrastructure is built for multi-region growth, preserving unit integrity through controls and monitoring.

Scale

Multi-Region Enablement

Issuance pools and partner programs can be expanded with staged allocation and capacity planning.

Integrity

Continuous Ledger Alignment

Backing, issuance, and redemption records stay synchronized to protect system confidence.

Resilience

Operational Controls

Governance, monitoring, and exception handling keep issuance and redemption predictable at scale.

Need deeper technical documentation?
We provide partners with implementation notes and system integration guidance.