Products
Bank Accounts
Multi-currency operational and nominal accounts with dedicated IBANs - designed for corporate and institutional clients managing complex treasury operations across jurisdictions.
Open AccountMulti-currency accounts across 30+ currencies for day-to-day operations, payroll, vendor payments, and client payouts
Account structures for institutions that hold funds on behalf of their own clients, operated under stringent compliance and reporting standards
Nominal accounts for reconciliation and attribution without requiring separate physical accounts
30+ supported currencies
Named IBANs with master-sub account architecture
First & third party payments enabled - vendors, salaries, client payouts
Full API access for account management and reporting
Digital Asset Management
Hold, manage, and settle in digital assets and stablecoins alongside multi-currency fiat balances - within a single regulated commercial bank, with safekeeping provided by approved custody partners.
Open AccountHeld off Pave Bank's balance sheet with approved custody partners, with full beneficial ownership at all times
Operated under Pave Bank's commercial banking licence, with safekeeping provided by approved custody partners
Assets maintained in segregated holdings, protected from any insolvency event at the bank
Seamless conversion between fiat and digital assets
Full API access for custody operations and reporting
PaveNet
Instant settlement between counterparties within the Pave Bank network - removing delays and reducing counterparty risk for institutions that need to move funds in real time.
Open AccountCounterparties within the Pave Bank network settle instantly, 24/7
Reduces settlement risk and operational overhead for high-frequency flows
Funds move between counterparties instantly with finality on transfer
24/7/365 availability, including weekends and holidays
Instant finality eliminates exposure windows inherent in traditional settlement cycles
No reconciliation delays, no intermediary bank fees, no cut-off times
Tradingand Markets
Access to currencies and digital asset trading with institutional liquidity - for organisations that need to trade, convert, or enhance their existing capabilities for their business.
Open AccountDirect fiat-to-digital asset conversion across major currency pairs
Large-volume trades with settlement in minutes
Automated FX for operational flows and block trades for large-volume conversions across 30+ currency pairs
Execute and settle high volumes across currencies and digital assets via platform or API.
Treasury Management
Access to capital markets and securities to manage corporate treasuries - giving institutions the tools to optimise capital, generate secured yield, and manage liquidity.
Open Accountshort-term and long-term government securities, including U.S. Treasuries, government bonds, UK T-bills, gilts, and Eurobonds.
exchange-traded funds through on-exchange and over-the-counter execution across fixed income, equity, commodity, and thematic strategies.
listed equities across global markets through low-touch and high-touch execution.
Client-Owned Assets - Held with regulated custodians, off Pave Bank's balance sheet
Full beneficial ownership - Including interest, coupons, and redemption proceeds
Real-time visibility of positions, maturities, and settlements through the platform
Programmable Infrastructure
API access to all Pave Bank products for developers and AI agents - enabling institutions to automate, integrate, and extend banking capabilities at scale.
Agentic Banking infrastructure designed for AI agents to operate securely within institutional controls, on behalf of their principals.
Open AccountAutomate treasury operations, settlement workflows, and compliance processes
Integrate Pave Bank accounts, payments, FX, and custody directly into your platform
Deliver banking capabilities to your end clients programmatically