Forex Execution Engine
The component that turns intended positions into actual, reconciled ones.
Execution & Brokers
Order management, broker APIs and the controls around them.
Execution is where theoretical returns meet reality. Latency, partial fills, rejects, reconnects and reconciliation breaks all cost money that no backtest anticipated. This layer deserves the same rigour as the strategy.
The component that turns intended positions into actual, reconciled ones.
Broker APIs integrated with the failure handling that live trading requires.
One strategy layer trading across several brokers and account types.
Order lifecycle managed with a complete, auditable state history.
Routing decisions driven by measured venue behaviour.
Automated reconciliation that catches breaks the same day.
Continuous checks that your book matches the broker's.
Pre-trade limits that stop bad orders before they reach the market.
Measuring what execution actually costs, by time, size and venue.
Finding where time is lost and whether it is worth the cost to recover.
Continuity when a broker connection or venue becomes unavailable.
Streaming integrations with heartbeat, resync and replay handling.
Describe the problem and we will tell you plainly whether we can help, roughly what it would take, and what it would cost. If it is not a fit, we will say so.
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