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White Label Solution

MAM Solution

Empower your money managers with a sophisticated trade allocation engine designed for high-performance fund management. Our MAM solution allows for flexible, manual-lot control across thousands of investor accounts from a single terminal.

Precision Control
Instant Execution
Professional Grade

MAM (Multi-Account Manager) Solution

Granular Allocation

Distribute trade volumes precisely according to investor needs or risk profiles.

Bulk Execution

Execute a single block trade that is split among sub-accounts instantly.

The Multi-Account Manager (MAM) is an essential tool for professional money managers and investment firms who require more granular control than a standard PAMM module. While a PAMM pools funds into one account, a MAM allows the manager to execute trades on a Master account that are instantly mirrored across multiple individual investor accounts. This allows for customized risk management and specific lot allocation for different investor tiers.

This solution is built for brokers and fintech founders who want to attract institutional-grade talent. Our MAM engine handles the complex math of dividing trade volumes according to your chosen allocation method—be it lot-based, percentage-based, or equity-based. It ensures that every investor receives their portion of the trade instantly, maintaining the integrity of the manager's strategy across the entire portfolio.

  • Granular Trade Allocation: Choose from multiple methods to distribute trade volumes precisely according to investor needs or risk profiles.
  • Individual Account Transparency: Investors maintain their own accounts, allowing them to see individual trade tickets and history.
  • Bulk Order Execution: Execute a single block trade that is split among sub-accounts, ensuring all clients get the same entry price.
  • Automated Revenue Streams: Built-in tools for calculating and deducting performance, management, and rebate fees.

Platform Overview

Our MAM software integrates directly into the trading server backend to provide the highest level of execution speed and data accuracy.

99.9%Uptime SLA
[X] DaysAverage Setup
UnlimitedInvestor Accounts
24/7Real-time Monitoring

Why MAM?

Flexible

Unlike PAMM, managers can manually adjust lot sizes for specific accounts if needed, providing high-touch portfolio management.

Execution

Support for all order types, including pending orders and partial closes, synchronized across the entire account group.

Retention

High transparency levels allow investors to feel more in control of their individual accounts while benefiting from professional management.

Scalable

Manage a diverse range of investors with different capital levels without increasing administrative overhead.

Automated

Eliminate manual spreadsheets with automated high-water mark tracking and fee distribution.

Risk Mgmt

Set global risk parameters or individual account caps to protect investors from over-leveraging.

Reporting

Provide managers with a comprehensive overview of their total AUM (Assets Under Management) and real-time performance metrics.

White Label Branding

Our MAM solution is designed to be a seamless part of your brokerage's premium service offering, fully branded to your corporate identity.

Manager Interface

A professional, white-labeled trading terminal interface where managers can view their entire pool of sub-accounts.

Investor Performance Portals

Give your investors a branded web portal to view their account growth, equity curves, and historical performance.

Branded Fee Statements

Automatically generate and send branded invoices and performance fee statements to your clients.

Marketing Widgets

Embed branded leaderboards on your website to showcase the success of your top MAM managers and attract new investors.

Server Hosting & Infrastructure

The MAM engine requires a high-performance server-side plugin to ensure that trades are allocated in milliseconds across all linked accounts.

Data Center Locations

London, UK

Equinix LD4 (Primary FX Hub)

New York, USA

Equinix NY4

Singapore

Equinix SG1

Tokyo, Japan

Equinix TY3

Infrastructure Specifications

Zero Latency

Server-side plugin architecture for zero-latency trade distribution.

Speed

High-speed API connectivity to the MT4/MT5/cTrader backend.

Redundancy

Redundant server clusters to ensure continuous allocation during peaks.

Security

Proactive DDoS protection and secure data encryption.

Backups

Automated daily backups of all allocation logs and fee data.

SLA Statement: We guarantee [99.9%] availability for the MAM server environment. Our infrastructure is optimized to ensure that even during high-volatility news events, trade allocation remains perfectly synchronized.

Platform Features

Our MAM tools offer the most comprehensive set of allocation and management features available today.

Allocation Methods

Lot Allocation

Pre-defined lot sizes for each sub-account.

Percent

Distribution based on a percentage of the Master's volume.

Balance

Proportional by Balance: Based on the ratio of investor balance to total pool.

Equity

Proportional by Equity: Based on real-time equity ratios.

Equity %

Each account trades a specific percentage of its own equity.

Management & Billing

Fees

Automated performance fee with High-Water Mark (HWM).

Management

Monthly or quarterly management fee deductions.

Commission

Volume-based commission (Rebate) tracking.

Hard Stop

Master account hard-stop and equity protection tools.

Analytics & Reporting

P&L

Real-time P&L and Equity tracking for all sub-accounts.

History

Comprehensive history of all trades and fee deductions.

Health

"Health" dashboard to monitor margin levels across the group.

API & Integration

The MAM solution is built for extensibility, allowing it to function as a core part of your brokerage ecosystem.

Manager / Admin API

Link/Unlink

Programmatically link or unlink investor accounts.

Modify Fees

Modify allocation methods and fee structures via external CRM.

Export Data

Export real-time AUM and performance data for auditing.

Platform Connectivity

MetaTrader 4/5

Full server-side integration via Manager API.

cTrader

Support for managed account environments through Open API.

Proprietary

Integration options available via FIX API or Web Services.

Web API / SDK

We provide a RESTful API and SDK that allows you to build custom front-ends. This is ideal for brokers who want to create a unique investor dashboard or integrate MAM performance data into their mobile app.

Pricing & Setup

Our pricing is structured to support both boutique fund managers and large-scale global brokerages.

What’s Included

Dashboard

Full MAM Manager & Admin dashboard license.

Plugin

Server-side allocation plugin for MT4/MT5.

Methods

5+ Standard allocation methods.

Engine

Automated fee calculation and distribution engine.

Branding

Initial branding and UI customization.

Updates

Regular security and performance updates.

Optional Add-Ons

Custom Dev

Custom allocation method development.

Mobile App

White-labeled investor mobile application.

Multi-Server

Multi-server/Cross-platform allocation support.

Anti-Fraud

Advanced anti-fraud and strategy-theft protection.

Setup Timeline

01Config

Configuration Mapping: Selecting allocation methods and fee rules (Days 1-2).

02Install

Server Integration: Installing the MAM plugin on your trading server (Days 3-5).

03Style

UI/UX Branding: Customizing the manager and investor portals (Days 5-7).

04Test

UAT & Verification: Testing trade allocation and fee accuracy (Days 7-9).

05Live

Go-Live: Production launch and manager onboarding (Day 10).

Frequently Asked Questions

In a PAMM, all funds are pooled into one big account. In a MAM, investors have separate accounts and the manager executes a "block trade" that is then split among them. MAM offers more flexibility in how lots are distributed (e.g., giving more weight to certain clients).

Yes. Depending on the allocation method chosen (like Manual Lot Allocation), the manager can define exactly how many lots each individual sub-account should receive for every trade.

Absolutely. The system automatically tracks the High-Water Mark for every sub-account and calculates the performance fee at the end of each period, transferring the commission to the manager's account instantly.

By default, the manager controls the trades. However, you can configure the system to allow investors to "read-only" access or give them the ability to detach and close positions if they choose to leave the MAM.

You need an active MT4/MT5 or cTrader server with Manager API access. We recommend having at least [X] active investor accounts to maximize the operational benefits of the MAM.

Yes. Managers can run any EA on the Master account, and the MAM engine will instantly allocate the automated trades across all linked sub-accounts according to the set rules.