Knowledge Base

How do admins handle the allocation of shares in a deal?

Deals work like this: First, investors enter the maximum investment they want in the subscription form. Secondly, when the deal is closed, the company does an allocation of the shares outstanding.

The company handles the distribution of shares outside of Ownersroom and is manually updated in the cap table when the share issuance is official.

You register holding of new shares in your cap table.

  1. First, you need to make sure the security you are issuing exists in your room. If not, you must create it.
  2. Secondly, you register the securities to whom it has been distributed, the same way you register a new share issue.

Read more about the cap table and how to use it here.