
CLIENT-FACING BROKERAGE
Retail Execution
Market Framework
Retail clients judge a broker on how quickly they can fund, trade, and withdraw; a regulator judges the same institution on the controls behind each of those three. We build both sides of that at once — licence and entity structure, platform and liquidity architecture, dealing-desk and risk engine, payment and treasury rails, and onboarding and reporting.
THE SPECIFICATION
Architecture & Audience
A retail brokerage is the institution most people picture when they imagine “a broker”: a licensed firm, a trading platform, a liquidity engine, a dealing desk, and a payment system — operating together under one regulated brand. The platform is the visible part. The institution is the part that determines whether it survives.
Founders and investors entering the retail trading market; established brands seeking to re-platform, re-license, or institutionalize; and regional operators expanding into new jurisdictions.
— OUR METHODOLOGY
The Build Process
The institution’s entire legal, capital, and operational architecture is strictly engineered on paper to perfectly anticipate regulatory scrutiny.
Licensing, systems, and counterparties are meticulously sequenced to culminate in a fully operational go-live, not just an approval letter.
We provide ongoing supervision and reporting to ensure your institution remains strictly compliant every quarter it operates.
When your team is ready, we seamlessly hand over full control of all systems, documentation, and relationships.
What We Deliver
A complete architecture, designed, launched, and managed
We curate and integrate Tier-1 liquidity providers to ensure deep market access and tight pricing. This minimizes slippage and fortifies the execution environment against market volatility.
We deploy industry-leading trading platforms matched perfectly to your operational model. Every instance is optimized for maximum stability and an uncompromising user experience.
We architect the critical connective tissue between your platform and the market. This ensures ultra-low latency routing and seamless trade execution.
We implement sophisticated tools to monitor, manage, and hedge market exposure in real-time. This framework protects the institution’s capital under all trading conditions.
We build the operational nervous system connecting sales, onboarding, and client servicing. The portal is engineered for high-conversion flow and strict compliance oversight.
We establish secure, multi-currency payment routing and correspondent banking relationships. This guarantees frictionless deposit and withdrawal mechanics for your global client base.
We integrate automated identity verification protocols directly into the client journey. This ensures absolute regulatory compliance without degrading conversion rates.
We structure the rebate logic and multi-tier tracking systems required to scale through partnerships. This empowers your introducers with transparent, reliable accounting.
We engineer automated back-office workflows for continuous operational visibility. Daily reconciliations protect the firm against internal discrepancies and regulatory audits.
What We Deliver
A complete architecture, designed, launched, and managed
We curate and integrate Tier-1 liquidity providers to ensure deep market access and tight pricing. This minimizes slippage and fortifies the execution environment against market volatility.
We deploy industry-leading trading platforms matched perfectly to your operational model. Every instance is optimized for maximum stability and an uncompromising user experience.
We architect the critical connective tissue between your platform and the market. This ensures ultra-low latency routing and seamless trade execution.
We implement sophisticated tools to monitor, manage, and hedge market exposure in real-time. This framework protects the institution’s capital under all trading conditions.
We build the operational nervous system connecting sales, onboarding, and client servicing. The portal is engineered for high-conversion flow and strict compliance oversight.
We establish secure, multi-currency payment routing and correspondent banking relationships. This guarantees frictionless deposit and withdrawal mechanics for your global client base.
We integrate automated identity verification protocols directly into the client journey. This ensures absolute regulatory compliance without degrading conversion rates.
We structure the rebate logic and multi-tier tracking systems required to scale through partnerships. This empowers your introducers with transparent, reliable accounting.
We engineer automated back-office workflows for continuous operational visibility. Daily reconciliations protect the firm against internal discrepancies and regulatory audits.
Infrastructure Selection
X-CHASE holds no commercial interest in any provider, assessing them strictly on live performance, structural fit, and renewal terms. Providers are named exclusively under formal engagement, never on a public website.