specializes in providing custom trading solutions to Money Managers in order to enhance their trading experience. Our Money Managers have access to different software’s to facilitate the trading for multiple accounts and strategies.
- Create a master Trade Copier account to manage multiple accounts.
- A sales group is generated to maintain the designation of all clientele that is referred from your organization.
- A sophisticated back office is created to monitor client activity. The back office provides a variety of different types of reporting and tracks your revenue accumulation in real time.
- Access to multiple liquidity providers within one aggregation engine.
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to complete the partnership request form.