Strategy, execution, risk tooling — built in-house.

Trading Engineering

Strategy code, execution bots, monitoring and risk tooling. Built in-house for our own books; selective build work for partners.

Strategy code, execution bots, monitoring and risk tooling are built and maintained in-house by the trading team. From time to time we take on selected build work for partners — exchange integrations, market-data pipelines, custom trading bots, on-chain monitoring. Always sized so it doesn't distract from the core trading book.

What we build for ourselves

  • Strategy & execution code for the books we run
  • Exchange integrations — REST, websocket, FIX where supported
  • Market-data ingestion — normalised order-book and trade feeds
  • Internal monitoring, alerting and reconciliation tooling
  • Risk dashboards — per-book, per-venue, per-strategy

What we take on outside the book

Trading bots

Custom execution logic for funds, family offices or token projects who want their own book run on rails — without building a trading team.

Integrations & pipelines

Exchange API integration, market-data normalisation, position-and-fill reconciliation across venues.

On-chain tooling

Wallet monitoring, transfer-flow alerting, on-chain reconciliation against off-chain books.

How we engage

  • Scoped engagements, fixed deliverables. We don't sell open-ended retainers.
  • We will say no if a build distracts from the trading book or sits outside our core competence.
  • Code we write for partners is theirs — handed over with documentation, no lock-in.

Tell us what you need

If you have a specific build in mind, send a brief: what it has to do, what it talks to, what success looks like. We'll come back with whether it's a fit and what a sensible scope would be.

Want to discuss this in detail?

Send a short note. We'll come back from Singapore business hours, usually within one business day.