Broker Solutions · IB & Affiliates
Partners who can check their own numbers.
Most partner disputes are arithmetic disputes. Give an introducing broker a live view of their clients, volumes and rebates and the disputes largely stop.
- What it is
- A partner management system: multi-tier structures, tracked referral links, per-instrument rebate rules, partner reporting and payout records.
- Who it is for
- Brokers running introducing-broker and affiliate networks, and the partners themselves.
- Why it matters
- Partner growth depends on trust in the numbers, and trust in the numbers depends on partners being able to see them without asking.
- How it connects
- Attribution is written when the client registers, so rebates trace to real fills in the same system the client traded in. EMIL is not involved in partner calculations.
- What happens next
- Model your existing commission structures and see the partner view they produce.
Distribution
Partners, copiers, allocators and funded traders.
Four different ways a book grows, all settling against the same fills — so a partner’s statement and a trader’s history cannot disagree.
Introducing brokers
- Multi-tier structures to unlimited depth
- Commissions calculated from the same fills the trader sees
- A portal where a partner can check their own numbers without asking you
- Tracking links and attribution that survive the client changing device
Copy and allocate
- Copy trading from verified providers, with allocation adjusted for risk rather than copied lot for lot
- PAMM and MAM for managers running money on behalf of investors
- Performance shown net, with the drawdown alongside the return
Funded accounts
- Single-phase, two-phase and instant funding challenges
- Rules enforced by the platform rather than checked by a human afterwards
- Scaling plans and payout handling as part of the same engine
What is inside
Multi-tier structures
Master IBs, sub-IBs and affiliates with defined splits at each level.
Tracked links
Attribution captured at registration and preserved through the client lifecycle.
Rebate rules
Per lot, per instrument, per account type, with tier thresholds.
Partner portal
Live client counts, volumes, rebates and payout history for the partner.
Tier progression
Visible thresholds and progress, so partners know what the next tier requires.
Payout records
Calculated, approved and paid states with a full audit trail.
Model your commission structure
Send your current tiers and rebate tables and we will configure them for the walkthrough.

