A Next Generation Managed Accounts platform, engineered to attract quality fund managers and investors.
Below are some of the key highlights:
Easy access using existing MT4/MT5 accounts or compliant digital onboarding.
This page displays all published strategies by the Fund managers. Investors can view, detailed performance stats and subscribe instantly.
This page lists, all the strategies subscribed by the Investor.
Built-in statements with intuitive insights and details on the performance, fees, highwater mark and much more.
Fund Managers can easily create / manage strategies and customize it based on their business requirements.
Platform provides the Fund Manager with all the required stats, for all the investor accounts which is associated with the strategy.
A public page for Fund Manager to share his strategies and performance to attract more Investors.
Monthly account statements and detailed quarterly performance reports, are sent to all managed account clients. It includes both, their earnings and payables.
Unleash a new, industry defining Managed Accounts platform in just four steps – enhanced client acquisition, increased lifetime value of clients, profitable, highly engaged, stickier clients.
Configure Managed Accounts
Configure your Managed Accounts offerings based on your business requirements, rules.
Rebrand your Client Portal
your brand details.
Add your MT4/MT5, Binance or other trading platforms / Crypto exchange servers.
A Rebranded Managed Account Portal, specifically designed to provide a unified and intuitive user experience for your clients.
Configure the settings/features for your Managed Account offering in an easy-to-use interface for the operations team.
The Platform integrates seamlessly with our IB Management module to automate the rebates and boost the Investor network.
Client360 is a panoramic view, of an individual client, everything your client will ever do, with you as a broker is available in a unified view, with built-in access compliance controls to ensure the right person/team has the specific access at a field level.
Intelligent real-time Dashboard to monitor your business KPIs.
Built-in analytics includes Client & Account distributions, Wallet transactions, Trade volumes, Operations & Sales activities, and much more.
Attract Fund Managers with a feature-rich Managed Accounts platform.
Hassle-free Integrations, we handle all the technical aspects.
Boost your volume and income.
100% Digitally configurable.
Launch the platform in just few hours.
|Investors||Traditional||FYNXT||Limited with MT4/MT5 Accounts for investors||Flexible virtual accounts overcoming the challenges of MT4/5 accounts for investors|
|Trade||Traditional||FYNXT||Trade to 0.01 lots; unable to engage in US30/Cash CFD trades, higher margin requirements.||Trade as low as 0.0001 lots, with infinitely flexible leverage allocation. Precise lot size allocation - greater precision in trade allocation, profit attribution and access to different instruments.|
|Strategy||Traditional||FYNXT||Investors can run their own EA's to copy Master's trades, outside the strategy.||Protects the Fund Manager, by ensuring investors are not copying their strategies via EA’s on the MT4/MT5 terminal.|
|Introducing||Traditional||FYNXT||Thick clients/primitive user experience.||Cutting edge web & always available, native mobile interface.|
|Transparency||Traditional||FYNXT||Additional overhead for Fund Managers, to administer and lack of transparency for underlying investors.||Since SSM communicates all allocation settings directly to your MT4/MT5 server, Fund Managers simply need to trade through the MT4/MT5 Master.|
|Settlement||Traditional||FYNXT||Manual/semi-automated fee calculation and settlement.||Automation of configurable fee calculation and settlement parameters.|
|Types||Traditional||FYNXT||Typically performance fee only based on remuneration.||Supports multiple fee types to include upfront, subscription, management, performance & execution or any combination.|
|Discount Coupons||Traditional||FYNXT||Typically Fund Managers, must create multiple strategies to meet their investor’s fee requirements.||Fund Managers can manage multiple fees requirement with one strategy by creating coupons.|