01 — LIQUIDITY ASSESSMENT
The Right Liquidity Starts With the Right Assessment.
No two brokerages have the same requirements. Before recommending a forex liquidity provider, we assess key factors such as suitability, commercial terms, and technical compatibility.
Jurisdiction & Company Structure
Where your brokerage is incorporated and operates.
Licence & Regulatory Status
Your licence, regulator and permitted activities.
Execution Model
A-Book, B-Book or Hybrid.
Trading Volume & Client Flow
Current or projected volume, active clients, ticket sizes and flow profile.
Trading Technology
MT4, MT5, cTrader, Match-Trader, FIX API, bridge or gateway environment.
Asset Requirements
FX, metals, indices, commodities, crypto CFDs and other instruments.
Collateral & Commercial Requirements
Available collateral, leverage, margin and pricing requirements.
Target Markets & Client Base
The countries you serve, client demographics, trading behaviour, and geographic considerations that may influence liquidity provider suitability.
02 — LIQUIDITY PARTNER NETWORK
Access the Right Level of Liquidity.
Through Bright Gate’s institutional network, we evaluate suitable institutional counterparties according to your brokerage profile and operational requirements.
Tier 1 & Institutional Liquidity
For established and appropriately structured brokerages seeking institutional-grade liquidity and deeper market access.
Tier 2 & Prime-of-Prime Liquidity
For brokerages requiring competitive pricing, multi-asset coverage, flexible commercial terms and scalable access.
Specialized Liquidity
For specific instruments, jurisdictions, execution models or technology requirements requiring a more tailored solution.
Aggregated & Technology-Enabled Liquidity
For brokerages requiring access to multiple liquidity sources, liquidity aggregation, bridge connectivity, FIX API integrations, and execution infrastructure tailored to their operating model.
The objective is not to connect you with the biggest provider. It is to identify the right liquidity relationship for your brokerage.
03 — LIQUIDITY CONNECTIVITY & IMPLEMENTATION
Liquidity Connectivity & Implementation
The process of choosing a forex liquidity provider is just one of them. It is also vital that liquidity is incorporated effectively into your trading environment with the right technology, routing structure and operational setup. A well-planned implementation helps support stable execution, operational efficiency and long-term scalability as your brokerage grows.
Platform Compatibility
Testing of MT4, MT5, cTrader, Match-Trader and other trading platforms.
Bridge & Gateway Connectivity
Integration of liquidity by means of bridge, gateway and middleware solutions.
FIX API Integration
Brokerages that need direct FIX connectivity and institutional trading infrastructure.
Aggregation & Routing Structure
Assessment of liquidity aggregation, order routing and execution workflows.
Testing & Validation
Organization of testing processes before transition to production and live trading.
Operational Readiness
Review of implementation requirements to support a smooth transition into live operations. It is not just a matter of getting liquidity. It is to make sure that the liquidity, technology, and execution infrastructure collaborate.
04 — FROM ASSESSMENT TO CONNECTION
We Coordinate the Process From Start to Finish.
Assess
We review your company, licence, jurisdiction, execution model, volumes, client flow and technology.
Match
We identify and shortlist liquidity providers aligned with your brokerage profile and eligibility.
Compare & Structure
We evaluate relevant commercial and operational factors, including pricing, collateral, leverage, instruments and connectivity requirements.
Coordinate
Our team coordinates introductions, documentation, onboarding and communication with the selected provider and relevant technology parties.
Connect
We support coordination through bridge, gateway or FIX connectivity and the transition toward live operations.
ASSESS → MATCH → STRUCTURE → COORDINATE → CONNECT