Capital Markets

We build the infrastructure behind Australian credit

Trustee and fund administration technology. Exchange and settlement plumbing across exchanges, and offshore venues. End-to-end loan servicing and portfolio management. One platform, designed for the full life of a structured credit program.

Why Gallantree Capital Markets

Infrastructure, not intermediation

Gallantree operates proprietary technology for trustee workflows, settlement, and loan servicing. The same stack that underwrites and services our own programs is the stack we extend to partners, issuers, and fund managers across the market.

01 · Trustee & Funds Management

Trustee and fund administration, run on modern technology

Legacy trust administration runs on spreadsheets, email, and batch files. Gallantree rebuilt the stack. Trustee compliance, unit pricing, investor registry, and rated-deal reporting all run from a single source of truth, wired directly into the underlying loan and cash ledger.

Trustee workflow automation

Deed compliance checks, waterfall calculations, and trustee reporting generated directly from the underlying loan and cash ledger, with full audit trail.

Fund administration ledger

Double-entry NAV accounting, unit pricing, distributions, and investor registry, calibrated for private credit, ABS, and CLO vehicles.

Investor reporting

Rated deal reports, compliance certificates, and portfolio analytics produced on a defined cadence, with a secure investor portal for drilldown.

Policy engine

Eligibility, concentration, and covenant rules codified once and applied consistently across warehouses, term deals, and standalone facilities.

02 · Settlement

Plumbing to ASX, DTC, and offshore venues

Rated notes settle across multiple venues, currencies, and counterparties. Gallantree is wired directly into Austraclear and ASX for AUD flows, and into DTC, Euroclear, and Clearstream for offshore tranches. Issuance, coupon, principal, and redemption events move through the ledger without manual hand-offs.

ASX settlement

Direct integration with Austraclear and ASX settlement rails for AUD-denominated rated notes, including issuance, coupon, and principal flows.

DTC and offshore reach

Connectivity to DTC, Euroclear, and Clearstream for USD and multi-currency tranches, with paying agent workflows wired to the ledger.

Cash and collateral

Real-time sweeps between trust accounts, warehouse lines, and investor cash accounts, with automated reconciliation and break resolution.

Custody and safekeeping

Tri-party and bilateral custody arrangements supported, with collateral eligibility and margining surfaced into the same control plane.

Connected venues

ASX
Austraclear
DTCComing soon
EuroclearComing soon
ClearstreamComing soon
SWIFTComing soon
03 · Loan Servicing & Management

Loan servicing built for structured credit

Origination through payoff, every cash flow, covenant test, and data point tied to a single borrower and facility record. The platform services warehouses, term securitisations, and standalone loans through the same engine, with portfolio analytics that surface risk before it becomes an arrears problem.

Full lifecycle servicing

Origination through payoff: drawdowns, amortisation, fees, rate resets, covenant monitoring, and maturity management, all surfaced in one view.

Portfolio surveillance

Live covenant, cash flow, and market data flow back into portfolio-level analytics, with watchlist and early-warning signals wired in.

Payments and collections

Direct debit, BPAY, and bank transfer rails for borrower payments, with automated collections workflows and arrears management.

Data model for structured credit

A borrower, facility, and collateral data model purpose-built for warehousing, securitisation, and ongoing trust administration.

Need this infrastructure for your program?

Gallantree extends its trustee, settlement, and servicing stack to issuers, fund managers, and originators. Tell us about your program and we will walk through the components that map to your mandate.