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TRES

Full & Accurate Web3 Financial Data - Automate your accounting, audit and reporting workflows

Informations

Official links

Official links

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Certifications

SOC1

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Categories

Accounting

Data

Sub-Ledger

(As per information listed on the website and/or provided by the Company)

What is it?

The TRES Financial Data Lake collates thousands of financial data points across 160+ networks and enriches them with real business context, turning your raw transaction data into accurate, usable information.

TRES enables financial workflows such as reconciliation, balance calculation, audit and reporting for Web3 assets from on-ramp to off-ramp.

What problem does it solve?

The world of Web3 is complex. Many chains, protocols and assets. Finance teams have to manually export transaction data and spend weeks identifying the context behind each transaction.

  • Extremely hard to track across multiple chains, protocols, exchanges and custodians.
  • No context for Web3 transactions leaves your team investigating for long amounts of time
  • Exporting data and crawling through spreadsheets is manual and error-prone
  • Going back through time to look at specific dates for audit is a nightmare
  • Existing financial tools aren’t up to scratch for Web3 transaction data
  • Complex DeFi activity (staking, liquid/restaking, lending pools, etc…) is very hard to map correctly
  • Regulations change constantly, and this means your compliance workflows are more complex

TRES provides you with a single platform for all of your Web3 financial operations.

Get the full and accurate picture across 160+ supported networks and simplify your Web3 accounting, audit and reporting.

Feature Highlights

All Web3 transaction data in one place

TRES integrates with over 160 chains, exchanges, custodians and protocols, enabling you to create your single-source-of-truth for all things Web3 finance.

Get contextual information for all transactionsUnderstand the exact context behind every transaction across all of your wallets, exchange accounts and custody accounts. Create custom label automation and rules to make sure your transactions are contextually marked before they even reach your ledger.

Close your books with ease

Instantly identify financial gaps across your Web3 transactions and reconcile your ledger with ease - drastically reducing your financial close cycle.

Time-boxed data reporting

TRES’ Financial Data Lake enables you to generate audit-ready reports for any given date range, at the touch of a button. Track, monitor and store all of your financial transactions for compliance overview and meet ‘Big Four’ audit standards with our SOC1 and SOC2 data quality.

Bring Web3 to your existing financial stack

Manage all parts of your Web3 financial activity in the TRES platform and automatically sync to your favourite ERP tool. Export your financial activity through our robust report system, or build custom reporting into your existing tech and data structures.

How it works

Book a Demo

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