★ PLATFORM · BROKER OPERATIONS

The back-office your
operations team lives in

Twelve dedicated ops panels — client management, firm P&L, hedger monitor, deposit & withdrawal queues, market controls, risk, audit trail and system health. Built by people who’ve actually run a venue, for people who actually run a venue.

Talk to Sales →See the Trader Terminal →
01

Client management

See every trader, drill into any account, take action with full audit.

Client list with live filters
Every trader on one panel with balance, KYC status, active positions, 24h volume, last login. Filter by KYC state, tier, balance range or activity. Search by email, username or client ID.
Per-client drill-down
Full activity page per trader — deposits, withdrawals, trades, positions, funding, session history and audit trail. One click from the client list.
Admin actions (all audited)
Freeze account, adjust balance, revoke API keys, force sign-out, reset TOTP, unlock KYC. Every action stamped to admin_audit with actor, target, before/after and rationale field.
Firm-wide search
One search box across every trader identifier, tx hash and order ID. Finds the account behind any deposit, withdrawal, trade or support ticket in under a second.
02

Firm P&L & risk

Real-time view of what the firm is holding, what it’s made, and where the risk sits.

Firm summary panel
24h volume, locked margin, open position count, gross exposure, realised + unrealised P&L. Refreshes on every mark tick, sliceable per asset class.
HOUSE exposure & b-book P&L
Full breakdown of the operator’s b-book position and P&L. Net realised + unrealised + fees + funding + other. Per-instrument view for spotting concentration risk.
Hedged exposure per instrument
Net client position vs. hedge coverage on every symbol. Shows exactly what’s covered, what’s naked, and how much slippage the hedger has cost this period.
Real-time risk panel
Firm-wide margin usage, top P&L movers, concentration alerts, liquidation queue depth. Optional Slack / PagerDuty hooks on threshold breaches.
03

Deposits, withdrawals & hedging

Money in, money out, and the hedge router keeping the book balanced.

Deposit queue
Every pending on-chain deposit with confirmation count, expected credit, chain, tx hash. Stuck-deposit alerts fire when confirmations stall past a threshold.
Withdrawal approval queue
Every trader-initiated withdrawal awaiting ops sign-off. Approve or reject with a fresh step-up 2FA challenge — the loud-failure UX from the security-hardening pass.
Hedger monitor
Live view of the hedge router: status, counters, resting orders on each destination venue, recent fills, reconciler activity. Kill switch is one click, audited.
Market controls
Per-symbol halt / resume, tick-size and lot-size overrides, funding cap adjustment, mark-price freshness gate. Everything an ops team needs to steer the venue during stress.
04

Audit, security & system

Nothing happens in ops without a trail. Nothing breaks in production without an alert.

Admin audit trail
Every ops mutation writes to admin_audit — actor, target, before/after, timestamp, IP, and the rationale field the actor supplied. Filterable, exportable, immutable.
Login events (firm-wide)
Every login across every trader account with IP, device, geo and anomaly flags. Powers the new-device email alerts and the ops-side security dashboard.
System alerts & health
Engine health checks, stale-book defence layers, feed-freeze detection, disk / RSS / CPU watchdogs. Alerts surface on the ops panel and can page out-of-band via Healthchecks.
MORE ON THE PLATFORM
Trader Terminal
The trading UI — order book, TradingView charts, full order-type suite, 6 asset classes + prediction markets.
Trader Account
Fifteen-section trader dashboard — wallet, positions, security, KYC, API keys, MCP for AI-agent trading.

Ops that runs a real venue, not a demo

Twelve panels, full audit trail, loud-failure UX on every mutation, no silent-refresh footguns. Book a walkthrough and we’ll show you the ops side against real production data.

Try the Live Platform ↗Talk to Sales →