BrokerLauncher
BrokerLauncher · Product Hub

BrokerLauncher products

Specialist products for brokers and prop firms — from unified CRM and MT5 services to analytics tools and operational risk modules.

  • Broker CRM
  • Prop CRM
  • PAMM
  • Copy Trading
  • MT5 Integration Hub
  • Spread Analyzer
  • A/B-Book Analyzer
  • CID Detection
  • Drawdown
Products

Featured product line

A summary of nine product modules covering CRM, MT5 services, broker analytics tools and risk modules.

Broker CRM — The operational backbone of a forex broker
CRM

Broker CRM

The operational backbone of a forex broker

A dedicated CRM for brokers that brings together every operational layer — client cabinet and KYC, IB tree, dealing operations, reporting, and platform integration — in one unified experience.

  • Client cabinet, KYC and documents
  • Multi-tier IB structure
  • Deposit and withdrawal workflows
  • Role-based access and audit log
  • Supports MT4 / MT5 / cTrader
  • Open API for payment gateway and LP integration
  • Financial and operational reporting
Prop CRM — End-to-end management of the evaluation cycle and funded accounts
Prop CRM

Prop CRM

End-to-end management of the evaluation cycle and funded accounts

A dedicated prop-trading CRM covering the full trader evaluation cycle — from challenge sale through verification, funded account issuance, trade monitoring and profit-split settlement.

  • Challenge and verification issuance
  • Trader trade monitoring
  • Profit-split and payout requests
  • Automated evaluation workflow
  • Customizable drawdown and profit-target rules
  • Integrated with risk engine and MetaManager
  • Separate dashboards for trader and operator
PAMM Service — Proportional capital allocation across investors — MT5-compatible
PAMM · MT5

PAMM Service

Proportional capital allocation across investors — MT5-compatible

PAMM (Percentage Allocation Management Module) for MT5: a single manager account, proportional allocation across investors, transparent reporting, and a per-investor profit/loss settlement cycle.

  • Proportional capital allocation
  • Investor deposit/withdrawal workflow
  • Per-investor PnL reporting
  • Performance-fee calculation
  • Compatible with MetaTrader 5 and MetaManager
  • Integrated with broker CRM and client cabinet
  • Configurable rules for investor entry/exit
Copy Trading Service — Real-time trade mirroring from master to follower — MT5-compatible
Copy · MT5

Copy Trading Service

Real-time trade mirroring from master to follower — MT5-compatible

Copy-trading for MT5 that mirrors master trades onto follower accounts in real time, with copy ratio management, symbol filters and per-follower risk rules.

  • Master → follower mirror trade
  • Copy ratio and symbol filter
  • Per-follower risk limits
  • Master performance-fee settlement
  • Compatible with MetaTrader 5
  • Direct MT5 feed connection for low latency
  • Separate dashboards for master and follower
MT5 Integration Hub — A REST API layer connecting CRM, portal, payments, IB and back-office to MetaTrader 5
MT5 · REST API

MT5 Integration Hub

A REST API layer connecting CRM, portal, payments, IB and back-office to MetaTrader 5

A broker-controlled central point for accessing the MT5 Manager API via clean HTTPS endpoints. Business systems speak REST instead of integrating directly with the native Windows layer.

  • Standard REST API on MT5 Manager
  • User, account and group management
  • Deposits, withdrawals and credit
  • Central credentials and per-system API keys
  • Compatible with any REST-capable stack
  • Scopes and audit log per key
  • Connects CRM, portal, payments, IB, risk
Spread Revenue Analyzer — Precise analysis of spread's contribution to broker revenue
Analytics

Spread Revenue Analyzer

Precise analysis of spread's contribution to broker revenue

An analytics tool that calculates and segments broker spread revenue by symbol, symbol group, account group, LP and time range — driven by real platform trade data.

  • Revenue breakdown by symbol and group
  • Calculations from real trade data
  • Markup and commission comparison
  • Time-based exportable reports
  • Direct integration with MT4 / MT5
  • Daily, monthly and custom-period reporting
  • API for internal BI integration
A/B-Book Revenue Analyzer — Separate A-Book and B-Book revenue contribution per trade
Analytics

A/B-Book Revenue Analyzer

Separate A-Book and B-Book revenue contribution per trade

A dedicated tool for analyzing broker P&L by separating trades into A-Book and B-Book routes, classified by LP and trader group — helping design a realistic hybrid model.

  • Routing detection — A-Book / B-Book
  • PnL by execution route
  • Analysis by LP and group
  • Alerts on abnormal exposure
  • Integrates with Bridge and LP feed
  • Compatible with hybrid (A+B) structure
  • Reporting for CFO and risk team
CID Detection Tool — Detect connected accounts via Client ID fingerprinting
Risk

CID Detection Tool

Detect connected accounts via Client ID fingerprinting

A tool for detecting linked accounts (multi-account / collusion) using client identification signals — helping risk and compliance teams reduce abuse and improve execution quality.

  • CID-based multi-account matching
  • Collusion pattern detection
  • Searchable audit-trail history
  • Configurable thresholds
  • Automatic alerts to the risk team
  • Exports suitable for compliance cases
  • Integrated with broker and prop CRMs
Drawdown Plugin — Platform-level drawdown control and equity stop-out
Risk

Drawdown Plugin

Platform-level drawdown control and equity stop-out

A risk-control plugin that monitors account equity in real time and triggers protective action — from auto-closing positions to disabling trading — when drawdown crosses the configured threshold.

  • Real-time equity and drawdown monitoring
  • Auto-close positions at risk threshold
  • Alerts to trader, IB and risk team
  • Layered rules for account groups
  • Compatible with MT5 and risk engine
  • Used by prop firms and brokers
  • Fully configurable parameters
Why this lineup

Why this product lineup together?

Native integration across products

CRM, analytics tools and risk modules feed off a shared data plane.

Real-data driven

All calculations are based on real platform trade logs and LP feeds.

Built for risk teams

From multi-account detection to audit trail — usable inside compliance workflows.

Choose the right tool for your operations

If you need to evaluate broker CRM, prop CRM, PAMM/Copy services, MT5 Integration Hub or revenue analytics tools, the consultation matches them to your business model and infrastructure.