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Treasury operations

Use this page to understand how collected funds move through balances, conversion, deposits, and disbursements in Radom.

Start from balances

Use the Funds area in the Dashboard to review the balances created by your payment, deposit, onramp, or payout activity.

Common treasury actions

Hold the collected asset

Use this when you want settlement to remain in the collected token or stablecoin balance.

Convert assets

Use Convert when the business wants to move funds into a different supported asset or network before disbursement or treasury reporting.

Move funds out

Use Payouts or Mass payouts when funds should leave Radom as fiat or crypto disbursements. Use dashboard withdrawal actions where your enabled flow supports a direct balance movement instead of a broader payout workflow.

Reconcile new inflows

Use Crypto deposits, Open banking onramp, and Virtual accounts when you are designing how more funds should enter Radom in the first place.

Before you go live

  • Confirm which balances, assets, and payout corridors are enabled for your organization.
  • Connect webhooks so internal systems can react to payments, deposits, payouts, and related operational events.
  • Review Deposit minimums and setup fees if you plan to use dedicated deposit addresses.