Product walkthrough
Inspect four Valty interfaces: evidence, loss, exports, and portfolio.
Explore real application captures with illustrative data at your own pace. This page shows selected product interfaces; it does not connect your systems or generate an output from your evidence. Bring one company funding question to a free platform demo; agree evaluation scope, evidence handling and commercial terms before access.
Application captures
Control Catalog, EBITDA Bridge, Export Center, and Portfolio: selected interfaces from the broader product.
Public walkthrough
Inspect the screenshots without a sign-up. No source-system access or turnaround is implied.
Data shown
Real application UI with deterministic demo data, separate from the fictional decision memo and from customer outcomes.
Evidence spine
Source → Evidence → Exposure → Proof → Export.
The product tour follows the evidence spine end to end. Each surface handles exactly one transformation: ingestion, normalization, quantification, ranking, publication, or export.
Source adapter layer
Connect source systems without replacing them
Valty sits above GRC platforms, vulnerability scanners, cloud providers, identity tools, and financial systems. Source connectors normalize evidence objects without requiring system migration.
Evidence normalization
Every evidence object carries owner, freshness, and tier
Controls, findings, cloud signals, supplier attestation, and agent actions are normalized into typed evidence objects. Attestation tier (T1 hardware-attested → T4 manual) is visible per item.
EBITDA bridge
Financial impact stays bounded with assumptions visible
The illustrated EBITDA bridge shows a company annual-loss estimate, source coverage, evidence quality, and pending model validation. It keeps contingent loss separate from maintainable EBITDA; a loss-percentile range appears only when a modeled distribution supplies it.
Action prioritization
Compare actions by cost and modeled loss
Review proposed costs, modeled exposure change, the responsible owner and the evidence needed to verify completion. The preferred action depends on the selected loss objective and budget.
Claim publication gate
Claims are blocked until evidence supports them
The publish surface reviews every claim for source coverage, freshness, and attestation tier before it can exit the platform. Stale or inferred claims appear in the blocked-claim ledger.
Export targets
Board pack, IC brief, audit pack, or insurer summary
The export surface routes each proof pack to its target audience, whether board director, investment committee, auditor, or underwriter, with the appropriate claim scope and evidence depth.
Platform surfaces
All four core surfaces, in workflow order.
Verify, Quantify, Prove, and Operate: the same four motions the shorter walkthrough covered, each shown here with the real product UI and one added layer of depth.
Surface: Verify
Source signals become evidence objects.
Controls, findings, cloud posture, supplier attestation, and agent actions are normalized into source-linked evidence objects with owner, freshness, and confidence attached.
- Control evidence freshness visible per item
- Findings linked to source system and scan date
- Attestation tier (T1 → T4) shown per control


Surface: Quantify
Inspect the annual-loss estimate and its evidence state.
This actual company screen shows modeled annual loss with evidence quality, source coverage, and pending model validation. Its figures belong to this illustrative capture, not to the separate sample decision memo.
- Company annual loss distinguished from the fund P95
- Evidence quality separate from modeled loss percentiles
- Model validation status visible
- Contingent loss is not a maintainable-EBITDA adjustment
Surface: Prove
The proof pack is the artifact that leaves the room.
The proof surface is the final gate before a claim is used in a board meeting, IC review, audit submission, or insurance renewal. Every claim is labeled: publishable, gated, inferred, or blocked.
- Claim state visible per finding before export
- Evidence chain from source to publication
- Hash-chain integrity across the export window
- Export routing by audience type (board, IC, auditor, insurer)


Surface: Operate
Actions stay ranked by value and proof status.
The operate surface ranks the next move by financial materiality, owner, deadline, and the evidence needed to close the action, across a company or a portfolio.
- Actions reviewed against modeled loss and budget
- Owner and deadline visible per action
- Hold-period and exit-readiness tracking
Source connector layer
- Source
- GRC, scanner, cloud, identity, financial systems
- Confidence
- Normalized, not ingested raw
- Freshness
- Connector-refresh cadence
Evidence object
- Source
- Typed evidence with owner, tier, and freshness
- Confidence
- Attestation-tier graded (T1–T4)
- Freshness
- Refreshed on source event
EBITDA bridge
- Source
- Revenue, margin, source coverage, finding severity
- Confidence
- Decision-support, labeled as estimate
- Freshness
- Recalculated on evidence change
Proof pack export
- Source
- Claim-gated, evidence-chained, hash-verified
- Confidence
- Publishable claims labeled and separated
- Freshness
- Gated by freshness review before export
Decision-support boundary
This walkthrough uses representative product surfaces.The screenshots are real Valty application captures from August 31, 2026, populated with deterministic illustrative data. They do not show customer outcomes or connect your evidence. A free 30-minute platform demo explores the supported workflow. Company scope, connector coverage, evidence handling, access, onboarding, and commercial terms are agreed before an evaluation begins.
Next step
Bring one company's funding question.
Explore the supported workflow in a free 30-minute platform demo. Adil replies personally within two business days, with a private booking link if there is a fit. Evaluation access, evidence handling, and commercial terms are agreed separately.