




Create single-step, multi-step, or custom-tailored trading challenges. Configure profit targets, active days, starting balances, and time zones, and publish updated terms with our advanced version control without affecting existing buyers.
Take complete control of your business operations with our native CRM. Manage customer profiles, verify KYC, track trading histories, run coupon campaigns, and resolve support tickets from one centralized command center.
Track and analyze live trading activity as it happens. Monitor balances, equity, drawdowns, and active positions to identify prohibited strategies, system abuse, or elite trading talent in real time.
Protect your firm's capital with automatic, real-time risk controls. Configure hard daily and total drawdowns, trade risk limits, and automated position liquidation that triggers instantly the millisecond a threshold is breached.
Transition successful traders into funded stages with custom profit splits. Set up automated scaling rules that reward consistent traders with larger account allocations once they reach defined payout milestones.
Review, approve, or decline payout requests through a centralized workflow. Set custom payout periods, minimum profitable days, and automatically trigger account scaling when payouts are approved.
Manage user accounts, verification, and trading histories from a unified CRM. Utilize our native, built-in KYC review suite to approve or reject document verifications without relying on third-party gateways.
Drive sales with a flexible coupon engine. Track conversion performance, calculate ROI on marketing campaigns, and assign custom coupon roles to your administrators.
Keep your traders engaged with event-triggered email automation for purchase confirmations, phase transitions, and payouts. Solve issues instantly with an integrated support ticket desk and complete attachment history.
| Category | Detailed Technical Capabilities |
|---|---|
| Challenge Configuration |
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| CRM & Administrative Portal |
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| Risk & Operations |
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| Payout Management |
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| Sales & Marketing |
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| Support & Communications |
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| Reporting & Export |
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A single, one-time fee is required for the complete setup and integration of your firm's technical infrastructure.
One-Time Fee
Choose the plan that best fits your business. You can switch your option once every 12 months.
Perfect for getting started
Most popular choice
For scaling operations
For large scale operations
Your minimum monthly fee covers all essential operational needs
Explore the latest trends, tips, and insights in your world
True B2B technology providers do not process retail trader payments, as acting as a financial gateway introduces massive regulatory and compliance risks. Instead, premium platforms seamlessly integrate the prop firm's own corporate fiat or cryptographic merchant wallets directly into the checkout, ensuring the firm retains 100% custody of its funds.
Modern prop firms secure their processing by integrating Direct Multi-Asset Settlement gateways. These gateways support borderless transactions and utilize irreversible cryptographic ledger settlement, which severely mitigates transactional fraud and ensures the prop firm maintains total custody of its capital.
The most secure and profitable alternative to revenue-share software is a modular, flat-fee B2B infrastructure. Solutions like the Fintatech Prop Solution provide 100% white-label environments, dedicated server hosting, and high-frequency risk engines for a capped monthly fee.
Yes, provided their technology provider supports hybrid risk routing. Independent B2B SaaS platforms like Fintatech feature advanced risk engines that allow prop firms to identify profitable traders in a simulated B-Book environment and automatically copy or route their trades to live institutional A-Book clearing brokers.
Instead of forcing prop firms to buy expensive, individual monthly data feed licensing agreements for every single active trader, Fintatech licenses enterprise-grade feeds and natively caches the real-time CFD, Forex, and Crypto data directly on our high-speed secure cloud. We stream this cached data straight to your traders' charts, completely eliminating third-party data bills.
Fintatech's high-performance risk engine supports fully configurable, automated hard daily and total drawdowns, trade risk limits, maximum combined starting balances, and automated position liquidation that triggers instantly the millisecond any rule is breached, completely protecting your firm's capital.
Yes. Our administrative portal allows you to easily review and approve requests to merge eligible funded accounts. Additionally, you can create automated scaling plans that seamlessly transition consistent, profitable traders to larger account stages once they reach your defined payout thresholds.
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