Disciplined change control — never another after-hours scramble.
Daily swap and dividend processing, scheduled specification changes, contract-month rolls — all under a written change-control procedure with sign-off, audit log and roll-back plan.
- Daily
- Swap + dividend
- Sign-off
- Four-eye
- Roll-back
- Plan-tested
- Audit
- Tamper-evident
Capabilities
What we deliver under this engagement.
Daily swap upload
Pricing-source-driven swap and dividend upload across MT4 / MT5, with cut-off discipline and exception handling.
Specification change control
Pre-trade, sign-off, scheduled deployment and post-trade reconciliation — with a documented roll-back plan.
Contract-month rolls
Futures and indices roll calendars, expiry handling and client communication scripted to your venue.
Pre / post reconciliation
Pre- and post-trade reconciliation against LP feeds, with deltas explained and signed off.
Tamper-evident audit
Every change is signed, time-stamped and stored in an audit log a regulator can read end-to-end.
Operator runbook
We hand your team a runbook so the discipline survives the next staffing change.
What's included
A clear, written scope — line by line.
- Daily swap upload and dividend processing across MT4 / MT5
- Scheduled specification changes with sign-off and roll-back plan
- Contract-month rolls for futures and indices
- Pre- and post-trade reconciliation against LP feeds
- Tamper-evident audit trail for every change
Compatible with
The platforms and bridges we run this on.
- MetaTrader 4
- MetaTrader 5
Related solutions
Often consumed together as a single operating engagement.
01
Brokerage Administration
Turn-key brokerage setup and ongoing administration — MT4, MT5, cTrader, Match-Trader, Centroid and FX Cubic.
02
Dealing Desk Operations
Senior, outsourced dealing — A-book, B-book and hybrid — with documented risk policy and real-time oversight.
03
Custom Development
Bespoke broker tooling — plugins, gateways, integrations and internal portals — engineered to broker-grade standards.