FlexTrade offers an integrated multi‑asset trading platform that consolidates electronic order routing, execution, and real‑time risk monitoring for equities, FX, and derivatives. The system provides configurable workflows, low‑latency connectivity, and built‑in post‑trade analytics and compliance reporting, enabling banks and broker‑dealers to automate strategies, improve operational efficiency, and reduce manual errors.
Funding
Funding not disclosed
Founders
Product
Problem
Financial institutions need to process high‑volume, multi‑asset trades quickly while maintaining regulatory compliance and managing risk across equities, FX, and derivatives.
Solution
FlexTrade provides an integrated multi‑asset trading platform that enables electronic order routing, execution, and real‑time risk monitoring. The system supports customizable workflows and seamless integration of live market data, allowing firms to automate trading strategies and adapt to changing market conditions. Post‑trade analytics are built into the platform, delivering detailed performance and compliance reporting. By consolidating front‑, middle‑, and back‑office functions, FlexTrade helps brokers and banks increase operational efficiency and reduce manual errors.
Target Audience
Primary customers are banks, broker‑dealers, and other financial institutions that require a unified solution for electronic trading, risk control, and compliance across multiple asset classes.
Features
- Multi‑asset support for equities, foreign exchange, and derivatives in a single platform
- Configurable order routing and execution algorithms with low‑latency connectivity
- Real‑time risk management tools, including limit monitoring and stress testing
- Integrated market data feeds and customizable workflow automation
- Post‑trade analytics and compliance reporting dashboards
- API and FIX connectivity for seamless integration with existing systems