From platform setup and bridge configuration to risk consulting and real-time monitoring — MCREVNEX delivers end-to-end operational expertise for modern prop trading firms.
We handle every layer of prop trading platform configuration — so your team can focus on running the business, not maintaining infrastructure. From initial server setup to ongoing group management, we've done it all.
What we configure
Industry-standard platform with full administrator access. We manage server provisioning, group architecture and live market configuration.
Full cTrader infrastructure setup including broker accounts, symbols, groups, leverage and fee engines for prop challenge environments.
End-to-end TradeLocker environment configuration for prop firms — from onboarding to live trading account group management.
Define precise margin models, conditional leverage tiers and drawdown-based rule sets per account group or challenge phase.
Configure market-open/close windows, instrument-level session overrides, holidays and news blackout windows.
Set overnight financing rates, swap-free account flags and triple-swap day overrides across all asset classes.
Build volume-based, lot-based or percentage fee structures with per-group, per-symbol granularity and rebate tiers.
Hard-coded position size limits, maximum open lots per trader, daily loss limits and instrument exposure caps.
Architect multi-tier group hierarchies — challenge, funded, disabled — with granular permission and feature flags per group.
We design and configure the full liquidity bridge stack — from LP connectivity and symbol mapping to execution rules and exposure management. Prop firms rely on precision routing; we make sure it's right from day one.
Bridge services
Full FXCubic deployment and configuration for MT5 environments, covering LP onboarding, routing tables and execution engine tuning.
Centroid infrastructure configuration for ultra-low latency LP connectivity, aggregation and intelligent order routing.
OneZero EcoSystem setup including Hub configuration, LP connections, distribution stream management and client-group routing.
End-to-end liquidity provider onboarding — FIX protocol session setup, credentials, connectivity testing and failover configuration.
Precise mapping between platform symbols and LP feed symbols including normalisation of naming conventions and lot size multipliers.
Design and implement routing logic to send winning traders' orders to LP (A-Book) and internalise predictable flow (B-Book) based on defined rules.
Configure rejection policies, re-quote behaviour, max deviation, partial fill handling and latency thresholds per instrument group.
Real-time net position limits per symbol, auto-hedging triggers and exposure netting rules to manage the firm's market risk.
Multi-source price feed aggregation, spread markup rules, filtering of outlier ticks and spread management per trading group.
Most prop firm losses aren't from bad trades — they're from poorly designed rules that traders learn to exploit. We help you build challenge models, risk limits and detection policies that protect your bottom line without alienating legitimate traders.
Consulting areas
Design 1-phase, 2-phase, instant funding or subscription models. We calibrate profit targets, drawdown limits and minimum trading days for sustainable payouts.
Evidence-based calibration of daily loss, max drawdown and trailing stop-loss limits — tight enough to protect the firm, fair enough to pass legitimate traders.
Prevent single-day lucky outliers from qualifying. We design consistency scoring, best-day percentage caps and minimum active trading day requirements.
Define thresholds and criteria for flagging coordinated trading accounts. We build detection parameters compatible with your PropGuard™ or manual review workflow.
Policies to identify latency arbitrage, data-feed arbitrage and platform arbitrage — with configurable grace windows and automatic flagging logic.
Design fair and effective news-event trading restrictions — pre-event entry windows, post-event hold periods and instrument-specific blackout protocols.
Define per-account and portfolio-aggregate exposure caps by symbol, asset class and overall notional — preventing single-instrument concentration risk.
Set margin utilisation alert thresholds and hard limits that trigger automatic review, notifications or position closure before breach.
Define permitted and prohibited hedging: same-account, cross-account hedging policies, and detection of offset positions that exploit payout mechanics.
PropGuard™ is MCREVNEX's real-time risk intelligence platform — built specifically for prop trading firms. We deploy and operate it on your behalf so your risk team gets 24/7 visibility into copy networks, exposure and trader behaviour anomalies.
Platform features
Vectorised similarity analysis identifies coordinated trading clusters across thousands of accounts in seconds. Assigns copy scores and maps the full network graph.
Detects accounts systematically operating in mirror-opposite strategies — a common abuse pattern used to guarantee payouts between coordinated trader groups.
Live net exposure per symbol, aggregated across all funded accounts. Instant visibility into portfolio-level risk before it becomes a firm-level problem.
Deep per-account analytics: trade timing patterns, instrument concentration, MAE/MFE distributions, margin usage and statistical anomaly detection.
Configurable alert thresholds that notify your risk team instantly when a breach, abuse pattern or anomalous behaviour is detected — via dashboard and webhook.
Identifies traders systematically trading high-impact news events with statistically abnormal win rates — flagging potential news-arbitrage abuse automatically.
Interested in seeing PropGuard™ detect real patterns on your firm's data?
Whether you're launching a new prop firm or optimising an existing one — we'll scope the exact configuration and services you need.