Keep the asset record connected
Work from portfolio composition and asset status instead of rebuilding context at each hand-off.
See how it worksPool Capital is building the infrastructure to review assets, prepare structured-finance transactions and monitor portfolios — under your brand.
Bring assets together Review risk Prepare a structure Organise documents Coordinate investors Monitor performance

Why Pool Capital
Work from portfolio composition and asset status instead of rebuilding context at each hand-off.
See how it worksReview eligibility, indicative structure and vehicle documents together before a transaction proceeds.
See how it worksCarry the same underlying information into investor coordination and periodic monitoring.
See how it worksSee how Pool Capital works
Overview / Portfolio
Portfolio
€48.6m
Assets
12,482
Eligible
91.4%
Expected yield
7.8%
Portfolio activity
Illustrative portfolio values over six periods
Demonstration interface with fictional figures. This is not access to a live institutional workspace.
Inside the platform
Illustrative data across the transaction lifecycle. Each item below is fictional and represents a demonstration state, not production activity.
01 / Assets
PoolCore · Portfolio under review
12,482 receivables · 4 asset classes
€48.6m
02 / Risk
PoolRisk · Eligibility review
Concentration: moderate · 3 exceptions
91.4%
03 / Structure
PoolStruct · Project Atlas · draft
Senior / mezzanine / junior scenarios
€25.0m
04 / Vehicle
PoolVault · Vehicle record
Luxembourg proposed · 18 draft documents
In review
05 / Investors
PoolConnect · Institutional interest
Expressions of interest, not commitments
23
06 / Reporting
PoolFlow · Monitoring period
Collections, exceptions and report drafts
Q3 2026
Illustrative preview. Pilot workspaces with real data are shown only in controlled sessions with participating institutions.
From assets to transaction
Follow an asset pool from review and structuring to investor coordination and reporting. Select a stage to see its place in the platform.
Illustrative workflow. Specialist judgement and regulated execution remain with institutions and appointed partners.
Seven connected products
Each module addresses a specific operational break. Together they preserve context from the asset record through ongoing reporting.
Asset and portfolio record
Qualitative risk, concentration & eligibility review
Transaction preparation
Data room, documents & vehicle record
Investor coordination
Monitoring and reporting
Integration layer
Illustrative transaction
A single transaction record shows how portfolio information, preparation steps and participant activity can remain connected.
This is a demonstration workflow—not an executed issuance, legal SPV or investment opportunity.
Transaction · Project Atlas
€25.0m
Portfolio
12,843 assets
Expected yield
7.4%
Maturity
36 months
Structure
Senior / Mezz / Equity
SPV record
Luxembourg
Investor interest
23 institutions
Preparation timeline
Portfolio imported
Eligibility review
Risk assessment
Structure prepared
Investor allocation
Closing
Reporting
Built for financial institutions
Prepare and monitor financing transactions around a controlled asset and portfolio record.
Coordinate investment structures, investor views and recurring reporting from one environment.
Connect specialist structured-finance workflows to an existing digital proposition.
Turn receivable portfolios into finance-ready datasets and controlled transaction workspaces.
White-label by design
Pool Capital is intended to operate behind the scenes. Your teams and selected stakeholders interact within an environment aligned to your brand and operating model.
White-label workspace
YOUR BRAND
Portfolio overview
€48.6m
Eligible assets
10,936
Status
Under review
PoolAPI
A planned integration layer for controlled exchange with origination systems, administrators and selected service providers. Endpoint design remains subject to pilot validation.
POST /v1/portfolios
{
"name": "Portfolio A",
"currency": "EUR",
"assets": 12482
}
202 Accepted
{
"portfolio_id": "prt_demo_01",
"status": "validation_pending"
}Security and regulatory boundary
Pool Capital is designed around institutional data separation, controlled access and traceability. Production security commitments, certifications and regulatory responsibilities must be validated for each deployment—not inferred from this demonstration.
Organisation-scoped views and role-aware workflows are central to the product design.
The platform is designed to retain operational context and review history across hand-offs.
Integration requirements, permissions and data flows are tested during pilot assessment.
Institutional pilot programme
We are collaborating with banks and other institutions to examine where Pool Capital can remove operational friction and where the product still needs to evolve.
A focused scope. Select a portfolio, workflow or reporting challenge rather than attempting a full deployment.
A shared assessment. Review data availability, controls, roles and integration requirements with the relevant teams.
An honest outcome. The pilot may validate a path forward, identify material development needs or show that the current product is not yet a fit.
Pool Capital is a functional demonstration under active development. No production service or regulated execution is claimed.