The platform provides the data, controls, and APIs needed to operate evaluations, funded accounts, and scaling programs. Firms can analyze PnL and volumes in real time, segment users into phases via account groups, configure bespoke routing (B-/C-/A-Book), and export reports to automate pass/fail logic, payouts, and growth paths.

Key Features

Evaluation-ready data layer

  • Analyze trading volumes by instrument, timeframe, and account.

  • Real-time account PnL and equity tracking.

  • Compare required vs. achieved trading volumes and position sizes.

Segmentation and control

  • Create account groups for Phase 1, Phase 2, Funded, and VIP; map different rules per group.

  • Market categorization to expose/limit allowed symbols per program.

  • Dynamic leverages by phase; calendars to control trading sessions (e.g., news/overnight restrictions).

Execution and risk routing

  • Flexible routing rules (A-/B-/C-Book) per user, account, group, market, or market group.

  • Markups/commissions configurable per group to align economics across phases.

Reporting and automation

  • Built-in trader reports (orders, trades, positions, PnL, swaps, funding, commissions, transfers).

  • Comprehensive REST API to power your challenge portal: fetch KPIs, drive pass/fail, trigger account status changes.

Administrative controls

  • Dealing Desk actions (cancel/edit pending, edit TP/SL/Trailing, partial/full/force close).

  • RBAC to separate roles (Ops, Risk, Support, Admin) and lock down actions.

  • Notifications for executions, margin/liquidation, price alerts  - push to email/app.

How It Works

Program modeling

  • Create account groups for each phase (e.g., Phase 1 → Phase 2 → Funded).

  • Assign routing per group (typical: B-Book on evaluations; C-/A-Book for funded/risk hedging).

  • Configure dynamic leverage caps, calendars, and allowed markets per group.

Challenge portal integration

Monitoring and enforcement

Reporting workflow

Restrictions/notes

How It Works

Program modeling

  • Create account groups for each phase (e.g., Phase 1 → Phase 2 → Funded).

  • Assign routing per group (typical: B-Book on evaluations; C-/A-Book for funded/risk hedging).

  • Configure dynamic leverage caps, calendars, and allowed markets per group.

Challenge portal integration

Monitoring and enforcement

Reporting workflow

Restrictions/notes

How It Works

Program modeling

  • Create account groups for each phase (e.g., Phase 1 → Phase 2 → Funded).

  • Assign routing per group (typical: B-Book on evaluations; C-/A-Book for funded/risk hedging).

  • Configure dynamic leverage caps, calendars, and allowed markets per group.

Challenge portal integration

Monitoring and enforcement

Reporting workflow

Restrictions/notes

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Why B2TRADER is better for Prop Trading Firms

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Faster time-to-market

Run evaluation and funded programs with existing B2TRADER data and APIs - no custom dealing system required.

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Superior risk control

Per-phase routing, leverage caps, calendars, and market access reduce operational risk during evaluations.

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Scalable operations:

Bulk reports and APIs automate pass/fail, scaling, and payouts as user count grows.

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Better unit economics

Optimize routing (B-/C-/A-Book) by phase; align markups/commissions to program economics.

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Higher candidate conversion

Mobile apps and TradingView integration (optional) expand reach and improve activation.

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Brand credibility

Immutable execution records and transparent reporting support audits and dispute resolution.

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Data-driven improvements

Iterate targets and rules using historical performance exports and cohort analysis.

FREQUENTLY ASKED QUESTIONS

FREQUENTLY ASKED QUESTIONS

Can B2TRADER enforce daily loss or max drawdown natively?

Native enforcement rules are not bundled. Implement them in your challenge portal using our REST API and notifications.

Can B2TRADER enforce daily loss or max drawdown natively?

Native enforcement rules are not bundled. Implement them in your challenge portal using our REST API and notifications.

Can B2TRADER enforce daily loss or max drawdown natively?

Native enforcement rules are not bundled. Implement them in your challenge portal using our REST API and notifications.

How do we separate evaluation and funded accounts?

How do we separate evaluation and funded accounts?

How do we separate evaluation and funded accounts?

Can we restrict instruments or news/overnight trading?

Can we restrict instruments or news/overnight trading?

Can we restrict instruments or news/overnight trading?

How do we automate pass/fail and scaling?

How do we automate pass/fail and scaling?

How do we automate pass/fail and scaling?

What analytics are available for reviews and payouts?

What analytics are available for reviews and payouts?

What analytics are available for reviews and payouts?

What routing should we use for prop programs?

What routing should we use for prop programs?

What routing should we use for prop programs?

Can we manage leverage and margin by phase?

Can we manage leverage and margin by phase?

Can we manage leverage and margin by phase?

How do we intervene if we detect suspicious activity?

How do we intervene if we detect suspicious activity?

How do we intervene if we detect suspicious activity?

Is there a way to deliver mobile-first prop experiences?

Is there a way to deliver mobile-first prop experiences?

Is there a way to deliver mobile-first prop experiences?

Can we hedge funded flow externally?

Can we hedge funded flow externally?

Can we hedge funded flow externally?

© B2TRADER 2025 All Rights Reserved.

© B2TRADER 2025 All Rights Reserved.

© B2TRADER 2025 All Rights Reserved.