MT4/MT5 PAMM Software for Brokers

Trusted by 250+ fund managers overseeing $1.2B AUM. 18.5% average annual return.

MT4/MT5 PAMM Software for Brokers

What is MT4/MT5 PAMM Software?

MT4/MT5 PAMM software is a broker-side module that lets licensed fund managers trade a single master account on MetaTrader while investor accounts mirror allocations proportionally in real time. It brings allocation rules, fee models (for example, performance and management fees with a high-water-mark), and risk controls into one place, so brokers can run multi-investor strategies at scale on MT4 and MT5, with branded investor portals and full audit trails for compliance.

Why Brokers Choose FYNXT MT4/MT5 PAMM

  • Direct MT4/MT5 connectivity with real-time proportional allocation and server-side execution.

  • A fee engine you can configure with a high-water-mark, hurdle and crystallization periods, and flexible performance and management fees.

  • Granular risk-policy automation (max drawdown, exposure caps, margin-call and stop-out rules) enforced at master and investor levels.

  • Branded investor web and mobile portals with live PnL, statements, and seamless funding and withdrawal workflows.

  • CRM-native and white-label: go live faster with SSO, roles and permissions, KYC, and broker operations built in.

  • Migration tooling and API endpoints to port managers, investors, and positions from legacy PAMM/MAM setups.

Trusted by Leading Brokerages Worldwide

ExinityOX SecuritiesJuno MarketAxiLirunexCMC MarketExinityOX SecuritiesJuno MarketAxiLirunexCMC Market

Key Advantages

1
MT4/MT5-Native Execution

Server-side integration with MetaTrader keeps allocations in step with master fills, partials, and slippage in real time, with no desktop middleware required.

2
Flexible Allocation Models

Supports proportional-by-equity, balance-based, and lot-based allocation, so you can match strategy intent and investor preferences without retooling.

3
High-Water-Mark Fee Engine

Define performance fees with HWM, hurdle rates, and crystallization cycles; apply management fees and set fee calendars per strategy.

4
Investor Experience, Branded

Provide white-labeled web and mobile portals showing live PnL, allocations, statements, fee accruals, and subscription or redemption status.

5
CRM-Native Operations

Role-based access, SSO, KYC, ticketing, and approvals are part of the FYNXT broker stack, reducing swivel-chair ops between systems.

6
Robust Risk Automation

Enforce max drawdown, exposure caps, trading halts, and stop-outs with configurable triggers and immutable audit logs.

7
Compliance & Audit Trails

Every allocation, policy change, and fee event is timestamped and attributable for regulator-ready reporting.

8
Migration & APIs

Import managers and investors, map fee schedules, and automate operations with documented APIs and assisted onboarding.

Risk Management, Expanded

Design risk once, enforce it everywhere. FYNXT PAMM gives brokers concrete, configurable guardrails that execute server-side and log every action.

Margin-Call Automation

  • Set equity-to-margin thresholds per manager strategy and/or per investor.

  • On breach, the system runs a deterministic sequence: notify > block new orders > reduce exposure (pro-rata or least-profitable) > liquidate to a safe state.

  • Separate triggers for "warning" and "hard" margin calls; every step is time-stamped for audit.

Max-Drawdown Limits

  • Define absolute or relative drawdown limits (for example, percentage from HWM) at strategy and investor levels.

  • Choose rolling windows (daily/weekly) or a since-inception basis; on breach, allocations freeze and optional de-allocation or stop-out is enforced automatically.

Per-Manager Exposure Caps

  • Cap total open lots, per-symbol exposure, and net directional bias per strategy.

  • Orders that exceed caps are auto-rejected or queued until exposure normalizes; optional throttling limits order frequency.

Stop-Out Rules

  • Set hard stop-outs at master and/or follower level to liquidate all or selected positions when equity thresholds are crossed.

  • Choose a liquidation policy (largest-loss first, highest margin usage first, or proportional) to minimize slippage and restore margin efficiency.

Trade Eligibility & Session Controls

  • Whitelist or blacklist symbols, sessions, and order types; enforce per-instrument leverage and min/max trade sizes.

  • Auto-disable trading during maintenance windows, illiquid sessions, or news embargoes you define.

Full Observability

  • Real-time dashboards for exposure, concentration indicators, and breach alerts across email, chat, and webhooks.

  • Immutable logs for every trigger, rejection, liquidation, and policy change.

How FYNXT Works

For Fund Managers

Allocation Setup

Create a PAMM strategy, choose the allocation model (equity, balance, lots), set minimums, and publish terms for subscription.

Performance Fee Configuration

Configure performance fees with a high-water-mark, hurdle and crystallization periods; add management fees and subscription or redemption terms.

Multi-Account Management

Trade once on the master via MT4/MT5; the PAMM engine mirrors fills, partials, and modifications to all follower accounts in real time.

Reporting

Access live and historical PnL, HWM status, fee accruals, and downloadable statements for investors and compliance.

For Investors

Transparent Enrollment

Review strategy terms, historical performance, fees, and risk policies; subscribe with clear acceptance of allocations and disclosures.

Live Visibility

Track allocations, PnL, fee accruals, and statements in a branded portal; receive breach alerts and period-end summaries.

Funding & Redemption

Deposit via broker-supported rails and request partial or full redemptions per strategy policy; the system processes pro-rata de-allocation and updates residual positions.

Records & Tax

Download account statements, trade confirmations, and fee invoices for accounting and tax needs.

Platform Performance

Our platform delivers exceptional results for both fund managers and investors.

$1.2B+

Assets Under Management

250+

Active Fund Managers

18.5%

Average Annual Return

5,000+

Active Investors

What Our Clients Say

Hear from fund managers and investors who have transformed their businesses using FYNXT Managed Accounts.

"

Our old system couldn’t handle custom fees or clear reports, so we were losing good fund managers. After switching to FYNXT, managers have more control and investors get better visibility. We've grown our managed accounts without adding extra workload.

MS
Michael Smith

CEO, South Asia-based FX/CFD Broker

"

Managing investor flows, fee settlements, and trade allocations used to be manual and prone to errors. With FYNXT, everything is logged, calculated, and reported in real-time. It’s removed so many blind spots from our operations.

SJ
Sarah Johnson

Operations Lead, Australia-based FX/CFD Broker

"

Implementing FYNXT's managed accounts platform opened up a new revenue stream for our brokerage. The integration was seamless, and our clients love the additional investment options it provides.

RC
Robert Chen

OD, Europe-based FX Broker

FYNXT vs Alternatives

Capability FYNXT Brokeree UpTrader B2BROKER
MT4 Support Native integration Supported Supported Supported
MT5 Support Native integration Supported Supported Supported
Allocation Model Equity, balance, lots Proportional (varies) Proportional (varies) Proportional (varies)
High-Water-Mark Fees Configurable HWM/crystallization Available Available Available
Risk Controls Max drawdown, exposure caps, margin/stop-out Standard (depth varies) Standard (depth varies) Standard (depth varies)
Investor Portal Branded web & mobile, live PnL Available (varies) Available (varies) Available (varies)
White-Label Yes Yes Yes Yes
CRM-Native Yes, part of FYNXT stack 3rd-party CRM 3rd-party CRM 3rd-party CRM

When to Choose FYNXT

  • You are a new brokerage launching PAMM on MT4/MT5 and want a white-label, CRM-native stack to go live quickly with enterprise-grade controls.

  • You are scaling and need deeper risk automation (max-drawdown, exposure caps, margin/stop-out) and cleaner investor experiences to attract higher-quality managers.

  • You are an enterprise broker consolidating tools: FYNXT unifies PAMM, CRM, onboarding, and reporting so operations, compliance, and growth teams work from one source of truth.

Frequently Asked Questions

Find answers to common questions about our Managed Accounts platform.

PAMM allocates investor capital to a master strategy with fees and performance tracked per investor; MAM focuses on multi-account trade management for a manager's own clients. PAMM emphasizes investor subscriptions, fee engines, and compliance-grade reporting.

Yes. FYNXT supports HWM-based performance fees with configurable hurdles and crystallization periods, plus management fees and custom calendars.

Policies are defined centrally and enforced server-side: set thresholds (drawdown, exposure, margin/stop-out), and the system will notify, block, reduce, or liquidate per your chosen sequence, with full audit logs.

Yes. FYNXT provides assisted onboarding and APIs to import managers, investors, fee terms, and historical data; we help map allocations and cut over with minimal downtime.

With existing MT4/MT5 connectivity, brokers typically move from configuration to live trading after policy design, branding, and testing. Timelines depend on your approvals and data migration scope.

Ready to Transform Your Brokerage?

Join hundreds of brokers who have optimized operations, increased efficiency, and boosted profitability with FYNXT PAMM. 50+ active clients, $4M+ in monthly settlements, 24/7 support, and 100+ integrations.

50+Active Clients
$4M+Monthly Settlements
24/7Support
100+Integration