Wallet-to-ledger mapping
Learn a structured inventory method so every custodial and self-custody address lands in the right control owner column.
Virtunexus Digital
We train finance and compliance teams to use financial auditing apps for wallet inventory, control testing, and attestation-ready treasury reviews.
What changes
Most treasury teams already export balances. The gap is turning those exports into an audit trail that stands up to scrutiny.
Learn a structured inventory method so every custodial and self-custody address lands in the right control owner column.
Build workpapers that survive handoffs between treasury ops, external auditors, and board committees without rewriting the story.
Scenarios reflect regional virtual asset service expectations while staying practical for multi-jurisdiction treasury desks.
Field notes
Mei L., treasury controller — after completing Vault Evidence Studio
Mei’s team used our flagship modules to reconcile three custodians and two on-chain wallets into a single attestation pack for their quarterly review.
Featured programmes
Start with the flagship path, then deepen with focused modules on controls and reporting.
Our flagship programme covering inventory, controls, sampling, and attestation packaging inside a financial auditing app workflow.
A compact track on maker-checker design, exception queues, and how to evidence overrides without burying them in chat logs.
Turn reconciled balances into board-readable narratives with reproducible exports from your auditing workspace.
Voices from the desk
The wallet inventory spreadsheet from Module 2 replaced three conflicting trackers we had been maintaining in parallel.
Jordan P. · Hong Kong · Operations lead
Useful, though the sampling lesson assumes you already know basic statistical concepts — we paired a junior analyst with a senior for that week.
Anonymous client in digital asset custody
★★★★★Vault Evidence Studio’s export checklist cut our external auditor Q&A round nearly in half.
Platform review · “HK treasury ops”