Asset Issuer
Incidents
Asset Issuer visible field reference for incidents settings and input meaning.
Incidents is the product surface for reporting issuer-side issues for submissions, assets, token behavior, valuation context, or compromised access. It lists the visible fields, what the user enters or selects, and what each field is for.
| Visible field | What the user enters or selects | What it is for |
|---|---|---|
Incident type | Select compromised wallet, asset safety, vault exposure, market risk, or status projection. | Classifies the incident report. |
Entity type | Select investor, vault, market, asset, or partner. | Identifies affected object family. |
Role | Select investor, depositor, borrower, liquidator, or partner member. | Identifies reporter or affected role. |
Affected address, vault, market, or reference | Enter an address or reference ID. | Identifies the affected object. |
JSON summary: describe the incident evidence | Enter JSON or text evidence summary. | Records report evidence and context. |
Submit Report | Click after filling the incident fields and connecting a wallet. | Submits the stakeholder incident report. |
Search | Type report, status, type, role, or subject. | Filters incident report rows. |
Severity | Select or read severity where surfaced. | Classifies operational urgency. |
Status | Select or read report status. | Shows review stage. |
Timelock State | Read queued, executable, cancelled, expired, or invalid state. | Shows governed action status. |
Queue | Click where governed action queue is available. | Queues a sensitive action. |
Execute | Click after delay has passed and action is valid. | Executes a queued governed action. |
Cancel | Click where cancellation authority is available. | Cancels a queued action. |