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    Treasury

    Treasury Management

    For: Post-launch projects with meaningful treasury positions needing ongoing strategic guidance

    Macro-informed treasury strategy for token projects. We help teams structure the treasury, manage diversification, and maintain runway visibility using the same macro analysis framework that has informed eight years of public market calls. This is not generic financial advice. It is crypto-native treasury strategy built on a track record of understanding how markets actually move. Pricing: 1 to 2% of treasury under management.

    How We Work

    1

    Treasury audit: current holdings, concentration risk, runway analysis

    2

    Macro landscape briefing and market cycle positioning

    3

    Diversification and hedging strategy design

    4

    Allocation recommendations with risk-adjusted scenarios

    5

    Ongoing monitoring with periodic rebalance recommendations

    6

    Quarterly strategy review and adjustment

    Deliverables

    • Treasury portfolio assessment & risk analysis
    • Macro-informed allocation strategy
    • Diversification & hedging recommendations
    • Ongoing treasury monitoring & reporting

    Ideal For

    • Post-TGE projects with significant token treasuries
    • DAOs managing community-governed treasuries
    • Protocols needing to extend runway through bear markets
    • Teams with stablecoin reserves seeking yield strategies
    • Projects preparing for token buyback or burn programmes

    What You Walk Away With

    A treasury strategy built on macro insights and risk analysis, so your project has runway, resilience, and the resources to execute through any market condition.

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