Accounting and finance operations for digital asset companies.
Clean books. Treasury visibility. Reconciled wallets. Audit-ready reporting — without hiring a full finance team too early.
Designed for companies managing both fiat and digital assets.Most crypto finance issues are not bookkeeping problems.
They are control, reconciliation, reporting, and treasury visibility problems.
Books don't match wallets
Balances across wallets, exchanges, custodians, and accounting records do not tie cleanly.
Reporting takes too long
Every investor update, audit request, or management pack becomes a manual fire drill.
No clear treasury view
Cash, stablecoins, tokens, runway, and exposure live across scattered spreadsheets.
How we support your finance function.
A practical outsourced finance function for companies managing both fiat and digital assets — from setup, to monthly accounting, to investor-ready reporting.
Finance Foundation
Build the infrastructure.
- Chart of accounts
- Accounting system setup
- Wallet and exchange mapping
- Basic controls and close checklist
Finance Operations
Run the finance function.
- Monthly financial reporting
- Wallet and exchange reconciliation
- Treasury and runway visibility
- Management reporting pack
Finance Leadership
Support strategic decisions.
- Cashflow and runway reporting
- Board and investor reporting support
- Budgeting and scenario planning
- Audit and fundraise readiness
One view across fiat and digital assets.
Banks, wallets, exchanges and custodians should not live in disconnected spreadsheets. Maverick turns scattered balances and activity into usable finance visibility.
Engagement Models.
Clear entry points. Final scope depends on entities, wallets, transaction volume, chains, cleanup period, staking/DeFi complexity, and reporting requirements.
Finance Operations
Scope & deliverables
- Xero or QuickBooks management, including chart of accounts hygiene and monthly accounting discipline
- Customer invoicing support, revenue tracking, and accounts receivable follow-up workflow
- Supplier bill coding, expense categorisation, and bank transaction posting
- Wallet, exchange, custodian and bank reconciliation support
- Month-end close checklist, reconciled balances, and management reporting pack
- Basic treasury view across cash, stablecoins, tokens, runway and major exposure points
Cleanup & Reconstruction
Scope & deliverables
- Review of historical accounting records and transaction gaps
- Wallet, exchange, bank and token movement reconciliation
- Cleanup entries and supporting schedules
- Reconstruction of missing or messy finance records
- Recommendations for a cleaner monthly close process
Finance Foundation
Scope & deliverables
- Chart of accounts and entity structure setup
- Accounting system configuration and workflow design
- Wallet, exchange and bank account mapping
- Basic controls, approval flow and close checklist
- Reporting template for monthly finance packs
Book a discovery call.
A focused 30-minute conversation to understand your finance stack, accounting pain points, treasury setup and whether Maverick is the right fit.