As a Funds Manager, selecting the right account type is an important decision that affects your trading conditions and strategy performance. Understanding the available options will help you make the best choice for your funds management approach.
Available Account Types
When creating a fund in your Client Portal, you have access to both MT4 and MT5 platforms with five different account types. Each account type offers distinct trading conditions, spread structures, and commission models to suit various trading strategies.
Account Options
When setting up your fund, you can select from the following account types:
Standard Account
Standard Plus Account
Standard Pro Account
Raw Account
Zero Account
Each account type is designed to accommodate different trading styles and strategies. We recommend reviewing the specific trading conditions for each account type to determine which best aligns with your trading approach and the needs of your investors.
Important: Account Type Cannot Be Changed
Please make your account type decision carefully before creating your fund. Once a fund is created, you will not have any opportunity to modify or update the account type for that fund.
If you determine that the account type of an already-created fund does not meet your needs, you will need to create a new fund with the desired account type. This is a permanent setting that cannot be changed after fund creation.
We strongly recommend:
Carefully reviewing all account type specifications before creating your fund
Considering your trading strategy and how different account conditions may affect performance
Consulting with our support team if you're unsure which account type best suits your needs
Partner Wallet for Performance Fees
As a Funds Manager, you receive a dedicated Partner Wallet where all earned Performance Fees are deposited. This wallet provides you with a convenient way to manage your earnings from funds management activities.
Key Features of the Partner Wallet
Automatic Creation
Your Partner Wallet is automatically created when your first Performance Fee payment is processed. You don't need to take any action to set it up.
One Wallet Per Funds Manager
Each Funds Manager receives one Partner Wallet, regardless of how many funds you manage.
Visible Balance
Your Partner Wallet balance is clearly visible in your Client Portal, allowing you to track your earnings at any time.
Regular Transfers
Performance Fees are transferred to your Partner Wallet at the end of each billing period, ensuring timely payment of your earnings.
Functions as a Trading Account
Your Partner Wallet functions as a standard trading account, giving you flexibility in how you use your earned fees.
Withdrawal and Transfer Options
Funds in your Partner Wallet can be withdrawn or transferred to other trading accounts, providing complete flexibility to manage your earned fees.
Managing Your Earnings
The Partner Wallet gives you complete flexibility to manage your earned Performance Fees. You can:
Reinvest them in your own trading activities
Withdraw them to your bank account
Transfer them to other trading accounts
Keep them in the wallet for future use
This flexibility ensures that you have full control over how you utilize your earnings from funds management.
Need More Information?
For detailed information about specific account types and their trading conditions, please review the account specifications in your Client Portal. If you have questions about selecting the right account type for your fund or managing your Partner Wallet, please contact our support team through Live Chat or submit a request through the Service Hub.