Helping ambitious fintechs to start and scale

We provide simple, plug-and-play access to financial markets. With our custody, trading and settlement API it’s never been easier, faster or cheaper to build an innovative investment or advice business.

Fast and flexible access to markets

  • We'll handle all CASS and client money
  • Find a wide range of wrappers and investments
  • Get help with permissions and AML
  • No set-up costs

All the investment options you'll need

  • GIA and ISA
  • SIPP and SSAS
  • 900+ funds from 100+ fund managers
  • Equities and ETFs
  • ISA Seccl Custody Limited is an HMRC registered ISA Manager (reference number Z2000), authorised to operate a Stocks and Shares and Junior ISA (JISA).
  • SIPP Our SIPP wrapper is made available through specialist third-party wrapper provider, Gaudi.

By developers, for developers

  • Developer-friendly, publicly documented API
  • Easy to integrate, simple to build on
  • Experiment in our sandbox environment
  • Security and scalability of serverless AWS architecture

Proud to power...

Rich and flexible functionality

The following functionality is either available already, or being worked on with a view to being released soon.

    • Client and account administration
      • Digital recommendation tool.
      • Set up sub-accounts or 'pots' at the individual client and wrapper level.
      • Have D2C clients and advised clients on the same platform.
      • Easily switch clients from D2C to advised.
      • Keep some of a client's accounts execution only and the rest advised.
      • Set up sub-accounts or 'pots' at the individual client and wrapper level.
      • Link or group different client accounts.
      • Easy-to-use client portal.
      • Notification of suspicious activity on accounts.
      • Verify AML (at extra cost).
    • Payments, transfers and charging
      • Fixed fee, tiered and percentage adviser charging.
      • Bank transfer and direct debit payment and withdrawals.
      • Regular investments and withdrawals.
      • Automated ISA, GIA and SIPP transfers.
      • Grouped transactions (pay in and invest to models, sell down and withdraw, etc.).
      • £ and % withdrawals.
      • JISA, including transfers from JISAs and Child Trust Funds.
    • Trading and investment
      • Fractional trading of ETFs.
      • Facilitate corporate actions.
      • Operate advisory models at client level, without discretionary permissions.
      • Non-GBP currency instruments.
      • Automated bed and ISA.
      • Auto-investments and withdrawals.
    • DFM functionality
      • Create model portfolios.
      • Rebalance portfolios.
      • Assign clients to models and auto-invest.
    • Reporting functionality
      • MIFID II required reporting.
      • Consolidated Tax Certificates.
      • Annual valuation reports.
      • Quarterly Statements.
      • Adviser fees.
      • Capital gains tax calculation and reporting.
      • Fully integrated illustration tool.

Want more detail?

Head to our FAQ to learn more and find key due diligence info

Want a demo?

Get in touch to speak to one of the team, or schedule a demo