Liberty StoneInstitutional Finance
AU / Since 2026
Liberty Stone
Liberty Stone
Cash & Treasury

Hold, move, and investcash across currencies

Dedicated accounts, domestic payments, and FX-settled investment disbursements to regulated brokers and fund counterparties — built for Australian corporates, trusts, and SMSFs.

Overview

Institutional cash infrastructure for Australian entities.

Liberty Stone provides institutional-grade cash infrastructure for Australian corporates, trusts, SMSFs, and fund managers. Every account is individually named and dedicated — not pooled — with full traceability and audit-ready reporting.

From holding AUD balances to executing domestic payments and FX-settled disbursements to regulated investment counterparties, our treasury infrastructure is designed for speed, compliance, and transparency.

All payment flows are strictly first-party — client funds are deposited from and returned to the client's own verified bank account only.

Platform Availability Target

99.99%

Our infrastructure is designed for high availability across all services.

Named Accounts
NPP + PayID
FX Settlement
99.99% Availability Target
Capabilities

Explore by focus area.

Switch between tabs to see benefits and detailed features for each part of this service.

Cash Accounts

Named, dedicated AUD accounts built for Australian institutional clients, with FX conversion for investment settlement purposes.

Benefits

6 points
Complete fund separation for regulatory complianceSingle dashboard for all currencies and entitiesInstitutional-grade FX rates with no hidden markupsAutomated reconciliation saves hours of manual workInstant audit-ready statements and reportingBank-grade security with 2FA and role-based access

Features

Detailed capabilities

Individual Account Numbers

Each entity receives unique BSB, account number, and PayID for complete separation of funds and clean reconciliation.

Real-Time Balance Reporting

View consolidated or per-account balances in real time. Export statements in CSV, PDF, or integrate via API.

Automated Reconciliation

Incoming payments are automatically matched against expected receipts, reducing manual reconciliation effort significantly.

Treasury infrastructure,
built for real entities.

Open a dedicated cash account, configure payment controls, and start settling investment activity from one regulated platform.