Now Live · Binance Global

Algorithmic crypto trading.
Built for managers.

A managed-trading platform for asset managers, wealth advisors, and family offices. Run a professional automated crypto desk for your clients — under your own brand, on your own custody, with your own fee structure.

Multi-strategy regime engine
Fund-style unit accounting
Automatic settlements
Non-custodial
The intelligence layer

Reads the market's mood. Acts when six gates agree.

A diverse panel of strategies votes on every trade. Before any order is placed, the signal walks through six independent checkpoints — regime, quorum, accuracy, risk, cost, sanity — each one capable of rejecting it. If even one gate says no, no order goes out.

The result is fewer trades, but trades that have a structural reason to exist. A managed account is supposed to filter what the market throws at it, not act on everything.

See how the gates work →
The managed model

One account. Many investors. Fund-style accounting.

The platform is built around pools. A pool is a single Binance account, owned and operated by you, with multiple investors contributing capital into it. Every investor's share is tracked in fund-style units, valued daily, and settled on the cadence you choose.

Investors who don't own crypto don't need to. They send funds to you, the way they would for any managed product. You hold the assets in your exchange account. The platform credits each investor's share. Crypto is the asset class — wealth-management is the experience.

Learn the pool model →
Safety & governance

Custody stays with you. Risk caps stay enforced.

The platform never holds your investors' funds. Capital sits in your exchange account, in a sub-account dedicated to the pool. The platform connects via API keys you issue and you can revoke — without withdrawal permission, and that's by design.

Position-size caps, daily-loss circuit breakers, accuracy gates, continuous reconciliation, immutable audit trail, Telegram alerts — they're not features bolted on. They're how the system works on day one.

Read the full risk disclosure →

Built for resellers. Designed for investors.

One platform, two sides. Asset managers operate the capital and the strategy. Investors watch their share of the pool grow in real time.

1

Pool mode

One Binance account, many investors. Fund-style unit accounting — every deposit buys units at current NAV, every withdrawal sells them.

2

Automatic settlements

Weekly, monthly, or quarterly settlement. High-water-mark protection means investors never pay performance fees on recovery from a drawdown.

3

Per-investor fee splits

Performance share, flat management fee, or hybrid. Configurable per pool or per investor. The platform calculates and settles every line.

4

Regime-aware execution

Strategies are weighted by current market regime. A range-trader steps aside in a breakout. The signal engine only fires when the market and the strategy agree.

5

Graduation path

Once an investor is ready, graduate them to their own Binance account on the same strategy stack. Trust earned, autonomy granted.

6

White-label branding

Custom domain, logo, colours, pool name. Each manager's investors see a fully branded experience that looks like the manager's own product.

Ready to take a closer look?

Read the full platform overview or get in touch about a demo.