Flagship product

Your firm trading in two weeks. The technology is already solved.

Everything your firm needs to sell, evaluate and pay — under your brand, on your domain. No percentage of your revenue.

Trader dashboard of a firm running on the Asgard platform
Trader dashboard — live on the platform

What it replaces

Six vendors, one invoice, one system of record.

Firms that grow by stacking tools end up reconciling between them. A trader passes in one system, is flagged in another and gets paid from a spreadsheet. Every reconciliation is a place where money and trust leak.

checkout tool rule tracker risk spreadsheet payout sheet separate KYC portal affiliate script support inbox

Modules

Everything included, nothing sold back to you later.

Challenge engine

Profit targets, static or trailing drawdown, daily loss, consistency, news windows, minimum days, scaling plans. Configure a programme once and it runs on every account.

Risk engine

Breach evaluated on every tick, not at end of day. Warnings, auto-flatten and account state changes happen without anyone watching a screen.

Payout automation

Eligibility, profit split, consistency review and payment method resolve automatically. Your team approves a queue and every approval leaves an audit trail.

Trader area

Signup, checkout, live progress, certificates, downloads and payout requests — all inside a product that carries your brand and nothing of ours.

Back office

Trader records, account states, transactions, refunds and manual overrides in one admin panel, with role-based access for your team.

Compliance

KYC/AML through established providers, digital agreements and certificate generation. The trader verifies inside your flow, not on a third-party site.

Growth

Affiliate module with partner management, automated commission payouts and ROI tracking, plus competitions and leaderboards.

Reporting

Pass rates by programme, revenue by cohort, payout exposure and trader behaviour — the numbers you need to price your next programme correctly.

Architecture

We sit above the terminal, not in front of it.

Your traders keep the platform they already know. Asgard connects through APIs, reads the fills, applies your rules and drives the commercial side around it.

Layer 1

Market & execution

Contracted by your firm directly with the providers. We maintain the connection, not the licence.

  • rithmic
  • quantower
  • your terminal

Layer 2

Rule & risk

Fills stream in, your rule set is evaluated on every tick, account state updates in real time.

  • tick evaluation
  • auto-flatten
  • state machine

Layer 3

Commercial

Checkout, payments, KYC, payouts, affiliates and support all read from the same account state.

  • psp · crypto
  • kyc · aml
  • payout queue

Layer 4

Your brand

The only layer your traders ever see. Your domain, your identity, your voice.

  • your domain
  • your theme
  • asgard invisible

Multi-tenant by design

Built to run many firms, hardened by running ours.

This is not a template we spin up per client. It is one platform with isolated tenants, which means every fix and every new feature reaches your firm too — you are not stranded on a fork nobody maintains.

  • Tenant-isolated data and configuration
  • Every tenant runs on the same maintained codebase
  • Your data exportable at any point
Tenantsisolated
TENANT-01
your firm
your brand
TENANT-02
another firm
no access
CORE
shared
DATA
separated

Security & operations

The boring part, done properly.

A prop firm platform holds money movements and identity documents. That raises the bar on access control, backups and audit trails well above a normal SaaS.

  • Role-based access for your team
  • Audit trail on payouts and manual overrides
  • Managed cloud infrastructure with continuous monitoring
  • Backups and documented recovery
Access logadmin
09:14:02
payout approved · TR-2291
ops
09:22:41
rule override · ACCT-8841
admin
09:31:18
export requested
owner

Platform questions

What operators ask us first

Can I migrate an existing firm onto it?

Yes, and it is a normal request. Migration is scoped separately because it depends on what your current provider will export and in what format. We agree the plan before you give notice to your existing vendor, never after.

What if I need a rule you do not support?

Bring it to the scoping call. Most rule requests are configuration. Anything that genuinely needs development gets quoted before work starts, with a delivery date, rather than promised vaguely and billed later.

Do my traders know they are on Asgard?

No. The trader area runs on your domain with your identity. Asgard does not appear in the interface, the emails or the certificates.

Who handles trader support?

You do — they are your customers and your brand. We support your team on platform and technical matters. Our support automation product exists to cut the repetitive tickets before they reach a human on your side.

How is it priced?

We evaluate the project first — programmes, integrations and any custom work — then send a closed quote. Flat setup fee plus a fixed monthly licence, no revenue share and no volume-based costs. Book a call and we scope it properly instead of guessing.

Next step

Bring your rules. We will load them in.

Thirty minutes, the real product, your programme configured live on the call.