Forex & Brokerage
Trading platforms, risk tooling, and back-office systems for regulated brokers.
Silicon Dali develops MT4/MT5-connected trading systems, broker portals, and operations dashboards for regulated brokers. Based in Cyprus, our team has delivered platforms across CySEC, FCA, and offshore-licensing frameworks, with deep experience in audit-ready reporting, risk management, and the deposit, withdrawal, and onboarding flows brokers depend on.
Production-grade systems for regulated brokers
MT4 / MT5 integration
Manager API, gateway plugins, and bridge work — including custom server-side logic, plugin development, and broker-side automation built on MetaTrader's native APIs and protocols.
Web & mobile trading apps
Browser-based trading consoles and mobile apps with live quotes, charting, account management, and order flow — for retail and institutional clients alike.
Deposit & withdrawal flows
Multi-PSP payment orchestration, manual review queues, reconciliations, chargeback handling, and configurable fraud rules to support finance and payments operations.
Risk & abuse-intelligence consoles
Real-time alert pipelines, exposure dashboards, latency-arbitrage detection, bonus-abuse rules, and case-management tooling for risk teams.
KYC, onboarding & CRM
Client onboarding flows with document capture, sanctions and PEP screening, tiered KYC, IB and affiliate management, and CRM tailored to sales-desk workflows.
Broker back-office & reporting
P&L, exposure, transaction reporting, MiFID-style trade reporting feeds, and pre-built regulator-ready exports for routine and ad-hoc supervisory requests.
Experience across major regulatory frameworks
Jurisdictions we have worked across
CySEC (Cyprus), FCA (UK), ASIC (Australia), FSCA (South Africa), VFSC, FSA Seychelles, Mauritius FSC, and offshore frameworks. Data models, audit trails, and reporting outputs are designed to align with regulatory requirements from the start of each engagement.
Built-in compliance controls
Trade reconstruction, immutable audit logs, record-retention policies, segregation of duties, granular RBAC, and exportable evidence packs — supporting both scheduled audits and supervisory reviews without retrofitting.
A trading-grade stack
Trading & market data
Backend & APIs
Frontend
Data & infrastructure
Typical results after go-live
Faster onboarding
Time-to-funded-account reduced from days to minutes, with KYC, AML, and PSP routing integrated into the onboarding flow.
Consolidated risk view
Live exposure, latency-arbitrage flags, and bonus-abuse cases unified into a single console for the dealing desk.
Audit-ready records
Every order, transfer, and administrative action is fully reconstructable, with on-demand evidence packs for audit and supervisory requests.
Lower platform cost
Consolidating third-party vendors by bringing key platform layers in-house typically reduces per-account platform cost by 30–50% over 18 months.
Planning or modernising a trading platform?
Share the context and current challenges, and we will respond with a 20-minute architecture review and a clear set of next steps.
Email us about a forex project Book a call