SettleMint
Overview

Capability docs matrix

Map DALP capabilities to the public documentation pages that explain the architecture, operator workflow, API integration path, and review notes for each capability.

DALP capabilities are documented across architecture explanations, operator guides, developer guides, and runbooks. Use this matrix when your review names a capability and the supporting pages sit across several docs sections.

Pick the row that matches your topic. The Start with link gives the mental model. The Then read links point to operator steps, API details, or pages for production readiness. The matrix is a routing aid, not a product checklist; read the linked pages for the exact flow, API surface, constraints, and responsibilities.

Capability coverage

Capability areaStart withThen readWhat the docs cover
Platform architecture and ownershipSystem contextSystem Factory, Architecture one-pager, and ComponentsHow the Console, Platform API, System Factory, execution services, SMART Protocol contracts, feeds, custody providers, compliance providers, and operator systems fit together.
Asset setup and issuanceTokenization modelingAsset issuance, Create an asset, and Token lifecycle APIHow an asset definition becomes a configured tokenised instrument, which lifecycle controls apply, and where operator and API workflows continue.
Asset servicing after issuanceLifecycle after issuanceAsset detail workspace, Mint assets, and Asset economicsWhere minting, redemption, conversion, fixed-income servicing, pricing, and fee concepts sit after the asset is live.
Identity, claims, and compliance controlsIdentity and complianceCompliance modules, Configure trusted issuers, and Compliance provider subjectsHow identity claims, trusted issuers, configured compliance modules, and provider-driven subject records participate in transfer and issuance controls.
Asset policy and transfer controlsAsset policyPolicy-based transfer controls, Asset policy compliance, and Compliance templatesHow configured asset policy, compliance modules, and transfer-control checks decide whether a regulated mint, transfer, or burn may execute; deployment-specific policy choices stay with the operator.
Custody, signing, and wallet verificationCustody providersSigning flow, Wallet verification, and Account securityHow DALP prepares transactions, hands signing to the selected custody or wallet path, verifies wallets, and separates platform workflow from custody-provider policy.
Replay, idempotency, and mint controlsReplay, idempotency, and mint controlsSource verification and auditability, Mint assetsWhere duplicate-request protection, deterministic operation keys, configured mint authority, and audit evidence belong in the operating model.
Settlement and cross-chain positioningXvP settlementXvP operator guides, Bridge and cross-chain position, and Supported networksHow settlement workflows are represented in DALP, which EVM network assumptions apply, and which bridge or external-chain responsibilities stay outside DALP.
Market data and feedsMarket data infrastructureFeeds overview, Create feeds, and Feeds update flowHow feed registration, signed updates, adapter reads, and indexed price data support configured asset or workflow needs.
Event evidence, auditability, and monitoringSource verification and auditabilityWebhook endpoints, Operability, and ObservabilityWhich records and event streams help reviewers trace platform operations, monitor events, and reconcile workflow outcomes.
Vendor governance and outsourcing reviewVendor governance responsibility modelDeployment topology, High availability, and Operational integration patternsHow DALP supplies controls, audit evidence, and integration points. DORA obligations, outsourcing governance, incident reporting, regulatory permissions, and legal responsibility stay with the operator unless the deployment contract assigns them.
Network and RPC resilienceEVM RPC NodeBroadcast, Supported networks, and Failure modesHow DALP reaches configured EVM RPC upstreams through the gateway, what routing and failover responsibilities sit in DALP, and what node, provider, rate-limit, method-support, and independent-verification evidence stays with the operator.
Production deployment and recoveryHigh availabilityDeployment topology, Backup and recovery, and Failure modesHow to read the deployment, availability, RTO/RPO, backup, and incident-response pages during an operational readiness review.
Public-chain privacy and reserve evidenceStablecoin lifecyclePublic-chain privacy, Supply cap and collateral, Source verification and auditability, Ledger Index, Collateral developer guide, Stablecoin responsibilities, and Precious metals use caseHow DALP frames token-side backing checks, collateral metrics, public EVM visibility, indexed event evidence, and the split between platform collateral state and external reserve attestations.

How to use the matrix

  1. Match your review topic to one capability row.
  2. Open the Start with page first to build the same mental model as every reviewer.
  3. Use Then read for the next path: operator workflow, API details, architecture depth, or production-readiness pages.
  4. Stop when the linked page answers your topic. Do not treat nearby capability rows as automatic product commitments.

If a topic touches several areas, keep the scope narrow. A custody review, for example, starts with custody providers and the signing flow, then moves to wallet verification and account security. Add the full asset issuance path only when the review also covers issuance authority or minting.

For implementation work, move from this page into the relevant developer guide. For product and risk review, start with the architecture and executive overview sections, then use the relevant security and operability pages.

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