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Shivacha — Simplifying Tech Solutions
Shivacha Digital AssetsExchange Infrastructure

Exchange Wallet Infrastructure

Exchange wallet systems — deposit addresses, confirmations, sweeps, withdrawals, hot/cold management and custody.

White-Label Crypto Wallet · Wallet

USD

1,240.00

USDC

860.50

EUR

310.20

ActivityRailAmount
Sent to @mayaP2P−25.00
Swap USD → USDCConversion200.00
Top-upCard+300.00
Illustrative interface · sample data

Overview

Exchange wallet infrastructure handles thousands of deposit addresses across many chains, credits deposits after confirmations, sweeps funds, processes withdrawals under policy and keeps hot wallet exposure minimal. We build exchange wallet systems integrated with custody providers, policy engines and reconciliation.

Common use cases

  • Multi-chain depositsAddresses and detection across networks.
  • Withdrawal processingHigh-volume, policy-controlled withdrawals.
  • Hot/cold managementAutomated rebalancing between tiers.
  • Token listingsAdding new assets safely.

Quick answers

Exchange Wallet Infrastructure at a glance

The essentials in brief. Every project is scoped individually — ask us for specifics.

What is exchange wallet infrastructure?
Exchange wallet systems — deposit addresses, confirmations, sweeps, withdrawals, hot/cold management and custody.
Who is it for?
Typically exchange operators, brokers, fintechs and Web3 companies launching trading, wallet, custody or on/off-ramp products.
What does Shivacha provide?
  • Address management
  • Deposit detection
  • Sweeps
  • Withdrawals
  • Tier rebalancing
  • Reconciliation
Which technologies are used?
Go (Golang), Rust, Java, Apache Kafka, Redis, PostgreSQL — chosen to fit your stack and constraints.
How does the process work?
Operating model → Trading core → Custody & wallets → Compliance & ops → Performance & security testing.
What affects the cost?
  • White-label configuration vs custom modules
  • Number of assets, chains and trading pairs
  • Custody model and provider
  • Liquidity, fiat on/off-ramp and KYC integrations
  • Mobile apps and admin scope
  • Security testing and operational requirements
How long does it take?
White-label implementations typically take 2–5 weeks of software work depending on product and customisation; advanced custom platforms 4–8+ weeks. Licensing, banking, custody and liquidity partner onboarding run on their own timelines.
How do I get started?
Share a short brief in the form below, book a 30-minute call or message us on WhatsApp. A senior engineer replies within one business day; NDA on request.

Capabilities

What we deliver

Address management

Per-user deposit addresses.

Deposit detection

Confirmations and reorg handling.

Sweeps

Automated consolidation.

Withdrawals

Screening, limits and approvals.

Tier rebalancing

Hot, warm and cold thresholds.

Reconciliation

Wallet versus ledger checks.

Architecture

Engineered right from day one

The layers we typically design for exchange infrastructure, adapted to your stack and partners.

  • Deterministic matchingPrice-time priority, replayable event logs and auditability.
  • Pre-trade riskBalance, margin and limit checks in the order path.
  • Wallet segregationHot wallet exposure minimised with policy-controlled sweeps.
  • Market integrityIntegration with trade surveillance and abuse detection.
Exchange Infrastructure · reference architecture
5Trading clients
Web & mobilePro terminalREST & WebSocket APIsFIX
4Trading core
Matching engineOrder managementMarket dataRisk checks
3Liquidity
Market-maker APIsExternal venue connectivityHedging
2Wallets & custody
Hot/warm/coldDeposit & withdrawalCustodian integration
1Back-office
KYC integrationAdminSurveillance integrationReporting

Delivery

How an engagement runs

  1. 1

    Operating model

    Markets, products, jurisdictions and licensed partners.

  2. 2

    Trading core

    Matching engine, order types, risk checks and market data.

  3. 3

    Custody & wallets

    Wallet architecture and custodian integration.

  4. 4

    Compliance & ops

    KYC, screening, surveillance integration and admin tooling.

  5. 5

    Performance & security testing

    Load, latency, failover and penetration testing before launch.

Security

Security built into delivery

Controls we apply by default on this kind of work — not a separate phase at the end.

Wallet segregation

Hot/cold tiers, withdrawal limits and approval quorums.

Custody integration

MPC, multisig or HSM-backed providers — keys never in application code.

Ledger reconciliation

Internal balances reconciled against on-chain and partner records.

Admin controls

Role-based access, maker-checker approvals and full audit trails.

Dedicated team

Blockchain Engineering Team

Engineers for protocols, nodes, indexing, custody integration and tokenization platforms.

FAQ

Frequently asked questions

How much should be in hot wallets?

Only what is needed for expected withdrawals, with automated top-ups from warm or cold storage under policy.

How are new tokens added?

Through a listing process covering contract review, network integration, testing and configuration.

How fast is your matching engine?

Performance depends on configuration and infrastructure; we design for low, predictable latency with in-memory order books and event sourcing, and we benchmark against your targets before launch rather than quoting generic numbers.

Can we launch an exchange without licences?

That is a legal question for your advisors and depends on jurisdiction. Our platforms are designed to operate within your licensing and partner model.

Next step

Get Exchange Development Estimate.

Tell us about your exchange wallet infrastructure requirements — goals, timeline and constraints. We will reply with questions, an approach and next steps.

  • Senior engineer reads every enquiry
  • Reply within one business day
  • NDA on request

Prefer to talk first?

Book a 30-minute call, or message the nearest team on WhatsApp.

Book a Call

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