Wyden Infinity: The Unified Digital Asset Trading and Orchestration Platform for Banks and Brokers
Acting as the orchestration layer within a financial institution’s architecture, Wyden Infinity automates workflows across internal systems and external counterparties, ensuring controlled and auditable execution across the full trade lifecycle.

Connecting with the digital asset ecosystem
With access to over 65 liquidity venues, custodians, core banking systems and data providers, Wyden Infinity supports more than 1,000 digital assets while providing high-performance execution and enterprise-grade resilience.
Order Management (OEMS)
Order Management
Centralized order management provides real-time visibility across assets, portfolios, and liquidity venues, enabling traders to monitor, amend, and manage orders efficiently while maintaining consistent and controlled execution workflows.
Smart Order Routing
Smart Order Routing (SOR) dynamically directs orders to optimal venues based on real-time conditions such as price, liquidity, fees, and latency, improving execution quality while ensuring resilience through automated failover and rerouting.
Execution Algorithms
Execution algorithms such as TWAP optimize how orders interact with the market by splitting large trades over time, enabling automated strategies that reduce market impact and improve execution outcomes.
Unified Custody Integration
Integration with leading custody providers such as Fireblocks enables institutions to manage multiple custody environments within a single platform, maintaining a synchronized and transparent view of assets across custody systems and trading venues.
Asset Transfers and Reconciliation
Automated transfer workflows manage asset movements across custody vaults, exchanges, and internal accounts while continuously reconciling balances to ensure precise tracking and reduced operational risk.
Trading Infrastructure
Matching Engine
A high-performance matching engine enables institutions to operate internal marketplaces, combining internal and external liquidity to improve pricing while supporting high-throughput, low-latency execution.
RFQ Trading
RFQ trading enables participants to request and respond to firm pricing within controlled workflows, supporting efficient execution and seamless integration into trading and risk processes.
FX Triangulation
FX triangulation leverages liquidity from highly liquid markets to execute trades in less liquid pairs, expanding asset coverage while maintaining competitive pricing and seamless execution.
Treasury & Risk
Treasury & Risk
Pre-Trade Risk and Limit Checks
Automated pre-trade controls enforce limits based on exposure, position size, and predefined thresholds, ensuring all trading activity complies with internal risk policies before execution.
Treasury Management
Centralized treasury management automates asset allocation, funding, and collateral processes across custody systems and trading venues, ensuring efficient capital deployment.
Liquidity Management
Aggregated liquidity monitoring provides a consolidated view across counterparties, with automated pre-funding and dynamic capital allocation to ensure liquidity availability where trading occurs.
Settlement & Accounting
Settlement
Automated settlement workflows manage asset transfers across internal accounts and external counterparties, supporting real-time and scheduled settlement cycles while ensuring traceability and reconciliation.
Double-Entry Ledger Accounting
A banking-grade double-entry ledger records all transactions, balances, and asset movements, providing a consistent, auditable source of truth synchronized with custody and core banking systems.
Custom Reporting
Integrated reporting captures detailed execution data and supports flexible report generation, enabling institutions to analyze performance, meet compliance requirements, and integrate trading data into internal workflows.
Security Built Into Every Layer
DORA‑aligned ICT provider for MiCA‑regulated institutions.
Frequently Asked Questions
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