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PROP Trading

Prop trading infrastructure

Evaluation rules, funded account risk limits, trader dashboards and payout processing — run as one system rather than three tools and a spreadsheet.

Platform
Confirm with us — see note below
Models
Simulated-capital evaluation and live allocation
Risk
Per-account limits, breach detection, auto-closure
Payouts
Profit split calculation and processing

Every prop operator we speak to asks the same question first, and they are right to: which platform does this run on, and how stable is that arrangement? After the platform-access disruption the sector went through, nobody wants to build on a foundation that can be withdrawn. We will answer that directly on the first call, for your specific model and jurisdiction — including where the arrangement's limits are.

What this covers

  • Evaluation and challenge rule configuration — profit targets, maximum drawdown, daily loss limits, minimum trading days and consistency rules
  • Multi-phase evaluation flows, with automatic progression and failure handling
  • Funded account risk limits enforced in real time, with breach detection and automatic position closure
  • Trader dashboard showing objectives, current standing against each rule, and progress through phases
  • Payout processing with configurable profit splits, schedules and approval workflow
  • Operator console for account provisioning, rule template management and cohort-level reporting
  • Clear separation between simulated-capital evaluation and live-capital allocation models

What this does not cover

  • Advice on whether your prop model constitutes a regulated activity in your jurisdiction
  • Provision of the trading capital itself

Talk to us

Tell us which model you run — simulated-capital evaluation, live allocation, or both — and which jurisdictions your traders sit in. Regulatory treatment of prop models varies significantly and is still moving, so take your own advice on that; we will be straight with you about what the technology does and does not do.

Before you book

How this works commercially

The four questions every operator asks before a first call. Here they are, up front.

Deployment model
Our own technology, deployed as a dedicated environment under your brand, integrated with the trading platform we confirm with you during scoping.
Commercial model
Contact us for pricing. Engagements are typically structured as a setup fee plus a monthly platform fee scaled to active funded accounts, with payout processing charged per transaction.
Time to live
Four to six weeks for a standard evaluation and funded account configuration. Custom rule logic or a bespoke trader dashboard extends this — we will scope it precisely rather than quote a range.
Jurisdictions
We work with operators across multiple jurisdictions. Because regulatory treatment of prop models differs materially by location and is still developing, we will discuss your specific position openly rather than publish a claim here.

Full page copy is in progress

The detail above is accurate and current. If you are evaluating now, talk to us directly — we would rather answer your actual questions than have you wait for a page.