Clean data.
Smooth workflows.
Greater operational trust
Work seamlessly with Agents using standardised, validated deal data from day one.



You receive data aligned with your expectations from the start
Your infrastructure keeps the market moving - whether you're listing securities, settling trades or maintaining reference data. However, your efficiency depends on the quality of information submitted.
Receive structured data at source
Agents using Inveztor build deals with the ICMA Bond Data Taxonomy and standardised workflows - so you receive consistent, validated inputs from the outset.
Get submission-ready files automatically
From ISIN applications and listing requests to settlement instructions and CP confirmations - filings are generated from structured workflows, not pieced together manually.
Gain visibility with fewer dependencies
Confirmations, status updates and reference data are tracked and recorded - reducing the need for back-and-forth, clarification emails or format conversion.
Reduce rework & operational risk
With cleaner upstream inputs, you minimise rejection rates, reconciliation errors and bottlenecks - improving performance across the infrastructure layer.
Why infrastructure providers use Inveztor
Structured from the start
Built on the ICMA Bond Data Taxonomy and ISO 20022, Inveztor eliminates PDFs, emails, and version chaos.
Total visibility, no gaps
Track approvals, filings, and conditions in real time - no more chasing updates or reconciling across systems.
Faster deals, fewer errors
Automate ISIN creation, CP confirmations, and settlement instructions - reducing operational risk and removing friction across the ecosystem.
Hear from our clients
Hear from the dealmakers, technologists and market leaders who trust Inveztor to deliver.
Connect with our team to experience the future of seamless debt markets collaboration






