Liquidity aggregation
Normalize configured liquidity streams to support price discovery and controlled execution routing across connected providers.
Adapter scope and counterparty connectivity are agreed for each deployment.Kinetic connects approved liquidity, institutional controls and client delivery through one configurable technology layer - under your institution's brand.
Illustrative platform workflow
The Kinetic proposition
Kinetic brings pricing, execution and integration workflows into a configurable technology layer. Each implementation is defined against the client's infrastructure, controls and counterparty relationships.
Normalize configured liquidity streams to support price discovery and controlled execution routing across connected providers.
Adapter scope and counterparty connectivity are agreed for each deployment.Create client-specific price streams using approved rules by tier, product, notional and tenor, with white-label delivery through web and APIs.
Configuration remains under the institution’s commercial and risk governance.Support configurable order handling and rules-based hedging according to the institution’s approved workflow and risk policy.
Available order logic depends on the connected venues and implementation scope.Deliver trade records, drop-copy feeds and reconciliation data to configured operations and back-office systems.
Market Dev integrates post-trade workflows; it does not replace the client’s settlement obligations.Pre-trade safeguards
A configurable order gate tests each client, account and request against the institution's approved policy before the workflow can continue.
Use institution-approved legal, KYC/AML and restriction status as configured inputs.
Test available funds, margin, position, day and account limits before execution.
Apply user, role, account, product, IP and multi-login rules.
Validate amount, frequency, slippage and stale-price conditions.
Apply approved market-state, counterparty, route and hedge treatment.
Kinetic applies configured status and limits. The institution remains responsible for KYC, AML, sanctions, legal approval and credit appetite.
Architecture
Directional flows are shown explicitly. The production design, hosting, resilience and data paths are confirmed during technical discovery.
Drop copy · Reconciliation feeds · Operational visibility · Agreed service model
Product scope
Product, tenor and order availability depends on configured liquidity, counterparties, market data and client controls. The final scope belongs in the implementation specification.
| Product | Workflow | Qualification |
|---|---|---|
| Spot FX | Streaming prices and configurable order submission | Subject to connected liquidity and controls |
| Forwards | Standard and broken-date pricing workflows | Curve, calendar and credit setup required |
| FX swaps | Near- and far-leg quote and execution workflows | Availability depends on counterparty support |
| Synthetic crosses | Configured cross and inverse pairs derived from source instruments | Subject to source data and available liquidity |
| Order handling | IOC, GTD, Market and OCO logic where supported | Confirmed during technical scoping |
Connectivity
Connectivity is configured to the client's systems and approved counterparties. Protocol versions, message dictionaries and certification requirements are agreed during scoping.
Receive prices, submit orders and exchange execution reports through configured FIX sessions and dictionaries.
Distribute prices and workflow data to web, mobile and internal systems using modern application interfaces.
Export deal data through FIX, XML, configured file formats or message queues for downstream processing.
Integrate configured limit data and support pre-trade checks, alerts or rejections according to institutional controls.
Import or export configured spot, forward, swap and synthetic pricing data for approved operational workflows.
Present the institution’s identity across a browser-based dealing interface and its client communication workflows.
Kinetic client experience
Prices, market depth, orders, limits, deal history and participant messaging come together in one configurable client experience.
Illustrative Kinetic interface · Example environment and prices · Not live market data
Implementation
Core configuration can progress quickly once prerequisites are confirmed. End-to-end timing depends on infrastructure, security, integrations, counterparties and client acceptance.
Confirm products, liquidity providers, client channels, deployment model and regulatory responsibilities.
Configure infrastructure, adapters, APIs, pricing rules, risk controls and post-trade interfaces.
Complete security review, connectivity certification, user acceptance and operational readiness checks.
Release under an agreed support, monitoring, incident and change-management model.
Technical discovery
Tell us your target products, liquidity providers, client channels, deployment location and integration priorities. We will shape the Kinetic technical discussion around your environment.
Email the technical teamIFZA Business Park, Dubai Digital Park
P.O. Box 342001, Dubai, UAE