Services for Developers and Managers
You built the strategy. We run everything around it.
BTR supports CTAs, fund managers, proprietary groups, introducing brokers and system developers with hosted execution, give-up clearing, custom programming, reporting and asset introductions. Multi-broker configurations and specialized clearing are routine here, not exceptions.
What we do
Five things managers keep asking us for
Most of this exists because a manager needed it and nobody else would build it. Take one piece or the whole stack.
- Emerging and established CTAs
- Fund managers and CPOs
- Proprietary trading groups
- Introducing brokers
- System and platform developers
- Family offices trading their own book
Why managers move
Boring execution is the whole product
Nobody switches brokers because the marketing was good. They switch because a fill went wrong, a server fell over, or an allocator asked for a report nobody could produce.
You are not locked to one FCM
Give-ups are arranged where your business needs to clear. If an allocator requires a particular clearing firm, that is a conversation, not an obstacle.
We are not competing with you
BTR does not run a proprietary book against client flow, and we do not take your strategy and trade it ourselves.
The engineering is in-house
When a strategy needs an adapter, a custom order type or a bridge between two systems, we build it rather than filing a ticket with somebody else.
You get people, not a portal
A desk that knows your programs by name, and picks up when an execution problem needs a human in the next sixty seconds.
Talk to someone who knows.
A quick phone call will tell you more than an hour on any website. Tell us what you are trying to do and we will tell you whether we are the right fit for it.


