Spread Revenue Intelligence
Spread Revenue Intelligence
Spread revenue breakdown by instrument, execution group and period — daily, weekly and monthly comparisons identifying growth sources and decay.
From company registration and MT5 to liquidity, CRM, payments and dealing operations
BrokerLauncher unifies everything required to launch and operate a forex broker: MT5, CRM and client cabinet, liquidity, Bridge, crypto payments, legal structure and dealing operations.
MT5 + CRM
Ready to connect
Liquidity Bridge
Multi-LP routing
Crypto Payments
Fast on/off-ramp
From legal structure and MT5 to liquidity, CRM, payments and dealing operations — every piece needed to launch a broker is prepared along one cohesive path.
Company & Regulation
Legal structure & licensing
Company registration, jurisdiction selection, shareholder structure and the path to a regulatory licence suited to your target market.

MT5 Infrastructure
Server & trading infrastructure
MetaTrader 5 licence, server configuration, Symbol Groups, margin settings and order execution rules.
Liquidity Bridge
LP connectivity & order execution
Liquidity provider connections, Bridge configuration, A-book and B-book management and execution monitoring.
CRM & Client Cabinet
Client management & cabinet
Admin dashboard, client cabinet, KYC, IB management, wallet and unified reporting.
Crypto Payments
Crypto deposits & withdrawals
Accept crypto on/off-ramp, fiat and crypto gateways with automatic reconciliation.
Risk & Operations
Risk, dealing & operations
Real-time risk monitoring, exposure control, drawdown alerts and daily dealing operations.
Manage clients, user cabinets, account status, payments and broker operations from a single unified panel.


Unified infrastructure from MT5 and liquidity to CRM, payments and daily operations — orchestrated end-to-end.
Trading infrastructure core — unified from server to client cabinet
Low-latency connection to liquidity providers and Bridge
Continuous dealing, risk and operations monitoring
Unified gateway for international deposits and withdrawals
A suite of dedicated products for brokers and prop firms — from unified CRM and MT5 services (PAMM, copy-trading, Integration Hub) to revenue-analysis tools and risk modules.
A REST API layer that connects your CRM, client portal, payments, IB and back office to MetaTrader 5 — a secure, broker-controlled endpoint instead of integrating MT5 Manager API directly.

Analytics modules connected to the core turn execution, risk and profitability data into actionable insights for dealers and managers.
Spread Revenue Intelligence
Spread revenue breakdown by instrument, execution group and period — daily, weekly and monthly comparisons identifying growth sources and decay.
A-Book / B-Book Revenue Analytics
Risk-taking vs. pass-through performance comparison per group and asset class, with Exposure and Net P&L metrics.
Top / Bottom Traders
Rank clients by profit, loss, volume and trading pattern.
Profitable / Loss-making Symbols
Identify highest and lowest performing instruments by group and LP.
Profitable / Loss-making Groups
Analyse client and execution group breakdowns for risk optimisation.
Risk & Dealing Insights
Exposure, slippage, reject rate and suspicious behavioural patterns.
From name selection and legal structure through technical infrastructure, MT5, liquidity, CRM, crypto payments and final testing — the broker-launch journey is managed step by step.
Name selection & initial validation
Name, Domain & Initial Validation
Collect name suggestions from the client, check domain availability, verify name approval with MetaQuotes, and assess company registration feasibility in the right jurisdiction.
Company registration & legal structure
Company Registration & Legal Setup
Reserve and register the company, prepare official documents, shareholder and director information, legal address and coordination with a local attorney.
Office, legal letters & PSP preparation
Office, Attorney Letters & PSP Preparation
Arrange a physical address, legal letters, proof of business activity and the materials required for corporate banking / PSP applications.
Technical infrastructure, website & branding
Technical Infrastructure & Branding
Set up servers, design the website, branding, sign-up forms, support structure and the broker's initial infrastructure.
MetaQuotes coordination & MT5 setup
MetaQuotes & MT5 Setup
Gather shareholder/director documents, submit company information, work through MetaQuotes review and complete initial MT5 installation and configuration.
Liquidity, Bridge & MetaManager
Liquidity, Bridge & MetaManager
Select and contract with an LP, install the Bridge, configure Symbol Groups, spread markup, commissions, grouping and the execution structure in MetaTrader.
CRM, client cabinet & back office
CRM, Client Cabinet & Back Office
Deploy or connect the broker's CRM, admin panel, client cabinet, MT5 integration, emails, users and operational workflows.
Crypto payment gateway
Crypto Payment Gateway
Finalise the crypto gateway contract, integrate USDT-TRC20 deposits/withdrawals into the site and user cabinet, and test sample transactions.
Final testing & operational readiness
Testing, Compliance & Operational Readiness
End-to-end test of MT5, CRM, website, servers, payments, deposits/withdrawals, KYC/AML, security, reports and real broker-operation scenarios.
Go-live & support
Go-Live & Support
Prepare for launch, initial monitoring, service performance review, technical support and progress reporting.
Once the steps are complete, the broker infrastructure is ready for final testing, initial monitoring and the start of operations.
Some steps can run in parallel; final timing depends on document review, third-party responses and registration/launch conditions.
Our focus isn't appearance. Infrastructure, operations, risk, CRM and real broker execution have to be designed correctly from the start.
We focus on stable infrastructure; technical decisions are made on the basis of actual broker operations — not theoretical assumptions.
From server configuration and execution groups to Symbol Groups, plug-ins and drawdown control, we work with the industry's core tools.
CRM as the heart of operations: KYC, trading accounts, IB tree, wallets and unified reporting — not a simple sign-up form.
A-book, B-book and hybrid structures, with spread control, commissions and real-time dealing monitoring.
We never recommend a legal or technical path without real review. First we assess your business model, risks and project requirements.
Jurisdiction, licence type and company structure are reviewed with a legal advisor matched to each project.
Every engagement starts with a consultation and business-model review — not a packaged sales pitch.
We explain regulation as an execution path for your project — not as a label on our own website.
Before go-live, the full infrastructure — from platform to payments — is examined in an independent technical review.
Practical articles on broker structure, regulation, liquidity, MT5, prop trading and exchanges — for technical and operational decision makers in the trading industry.
Order execution models in brokers, the A-Book and B-Book concepts, the Hybrid difference, and how this choice affects broker risk and profitability.
Read articleThe role of liquidity in market depth, spread, slippage and execution quality — and why choosing a liquidity provider is a strategic decision.
Read articleThe definition of a market maker, the difference from ECN and STP models, how it earns revenue, and its place in modern broker order execution.
Read articleQuestions we hear frequently in consultation sessions. If your question isn't answered here, we'll address it in detail during your consultation.
A consultation means reviewing your model, assumptions, legal requirements and technical roadmap — not pitching a generic package.