Through our API, Wealth2B presents the available investment terms, showing estimated rates for liquid instruments..
Once the user selects the term and amount, Wealth2B automatically purchases the Treasury that meets the instructions.
A confirmation is sent to the client detailing the final interest rate that will be earned at the maturity of the acquired instrument.
At maturity, Wealth2B automatically reinvests the funds or transfers them to the client’s account, based on the user’s configuration.
Upon sending a deposit instruction, the client immediately receives purchasing power to execute the transaction.
Clients can withdraw funds to their account with a T+1 settlement period after the maturity of a Treasury Bond investment.
We offer investment options with terms every 15 days, with fixed maturity dates to facilitate planning.
This product complements the ability to move funds to or from the Bank Sweep program, optimizing the generation of highly attractive returns.