Built for limited companies, funds, family offices and corporate treasuries that need multi-user access, role-based permissions and audit-grade reporting. Hedge commercial FX exposure or run a trading book with the controls your auditor expects.
Separate trader, risk, finance and read-only roles with maker-checker approval on withdrawals and per-user trading limits.
Forwards and rolling spot hedges on 38 currency pairs to lock in payables and receivables against operational cash flows.
Whitelisted withdrawal beneficiaries, four-eyes authorisation, IP allowlisting and hardware-backed API key signing.
Immutable trade blotters, month-end valuations and CSV/API exports that reconcile directly into your ledger.
A private-client account for high-net-worth traders who need deep liquidity, negotiated pricing and a named dealing contact. De Luxe clients route through the same colocated infrastructure as our institutional desks, with pre-agreed credit limits and priority settlement.
A long-horizon account for capital that should compound rather than trade. Recurring contributions are allocated to diversified model portfolios, cash balances earn a money-market yield, and reporting is structured for tax-advantaged wrappers.