Business / Accounts — Entity dossier

File No. CB-BA-001

One structure. Every entity, filed.

Hold balances across currencies, receive payments into dedicated account details, and give finance teams a clear, auditable view of every entity you operate — parent and subsidiaries alike.

Currencies
Multi
Entities
Unlimited
Access
Role-based
Statements
Exportable

01Group structure

A single workspace across your group

Parent entity

Meridian Holdings Ltd

Parent

Meridian Holdings Ltd

GBP · EUR · USD

Subsidiary

Meridian Studio GmbH

EUR

Subsidiary

Meridian Labs Inc.

USD

Each entity in the group keeps independent accounts and ledgers — visible together for consolidated oversight, but never commingled.

02Entity accounts

Balances, filed by entity

Entity 01Reg. no. UK-08841207

Meridian Holdings Ltd

Operating — EUR€184,200.10
Operating — USD$62,410.55
Payroll reserve — GBP£40,000.00

Entity 02Reg. no. DE-HRB 221094

Meridian Studio GmbH

Client funds — EUR€21,880.00
Project — Nordwind€6,140.00

03Account details

Named, virtual and dedicated details

Receive funds via account details that may reference your company name, isolate a project's inflows, or sit within a partner-issued structure — reconcilable from a single ledger view.

Bank atrium interior representing structured account architecture
Structured entity architectureFig. 03

Team access

Permissions built around your structure

Admins & finance

  • Manage users, roles and account settings
  • Initiate payments and view statements
  • Generate and export reconciliation data

Members

  • View activity relevant to their scope only
  • No access to settings or other entities
  • Requests route through approval workflow

05Records & tiles

A permanent, exportable paper trail

Every account keeps a statement history you can export for audits, tax filing or investor reporting — filed the moment it settles.

Check current market coverage on the availability page, or confirm eligibility for your company on the eligibility page.

Portrait of a finance controller reviewing statements
Fig. 05Statements, reconciled monthlyRecords

Open an account

File your first entity

Set up multi-currency balances across your group and invite your finance team.

Named, virtual or dedicated account details may be available depending on the product, jurisdiction and infrastructure partner.

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