Using the Asset Release Notification tool

Quickly send asset release notifications to investors

As a dealer, once you've received the funds and released them to the Issuer, you can automatically provide notification to investors that the funds have been released.

Navigate to the Asset Release Notification in the menu.

1. Date of Asset Release - day the funds were released

2. Countersigned Transactions Date Range - the range of funding days covered

Then simply download the transactions to confirm, preview the email, and send!