Escrow Built for the Fixed Income Market
We provide neutral, regulated escrow services to support a wide range of fixed income instruments, helping issuers and investors manage risk, meet compliance obligations, and streamline settlement. Our approach ensures funds are held securely until all deal terms are satisfied.
Term Deposit Support
Hold investor funds during issuance of medium-term notes (MTNs), promissory notes, or structured deposits.
Institutional Participation
Designed for fund managers, superannuation funds, and other wholesale investors seeking trusted counterparties.
Yield-Based Products
Escrow solutions for instruments with conditional returns, including callable or step-up bonds.
Early Redemption
Secure release of funds upon maturity or trigger-based early termination scenarios.
Regulated and Transparent by Design
Nebula Escrow operates under an Australian Financial Services Licence (AFSL), with strict adherence to AML/CTF laws and ASIC guidelines. Every bond escrow transaction includes KYC verification, transaction monitoring, and a clear audit trail for institutional reporting.
A Step-by-Step Process Built for Institutional Confidence
Our workflow ensures transparency from initiation to settlement, with milestone-based oversight, secure documentation, and clear responsibilities for all parties.
1. Escrow Agreement Signed
Terms and parties are formalised, with obligations clearly defined.
2. KYC & AML Checks Completed
All parties undergo verification per regulatory requirements.
3. Investor Funds Deposited
Funds are transferred into a dedicated, segregated trust account.
4. Transaction Conditions Verified
Legal and financial documentation is reviewed and milestones tracked.
5. Funds Released Upon Satisfaction
Capital is disbursed once all agreed conditions are fully met.
6. Completion Reports Delivered
A full summary and audit record is provided to all parties.