Consolidate fragmented broker-side visibility into a unified risk intelligence workflow. Detect exposure concentration, hedge deterioration, toxic client flow, and execution inefficiencies before they escalate into operational or financial risk.
By the time most brokers notice a risk event, the damage is already done. The losses are booked. The client is gone. The LP is flagging your flow.
MT5 gives you execution infrastructure — it doesn't give you a risk desk. Your dealers are watching MT5 Manager windows, cross-referencing spreadsheets, and responding to problems that have already happened. That's not risk management. That's damage control.
Six modules. One coherent risk picture. Purpose-built for the dealer desk, not adapted from generic fintech tooling.
Continuous streaming of net position exposure by group, symbol, and account. Configurable thresholds trigger multi-channel alerts before limits are breached — not after.
Statistical pattern recognition identifies toxic flow signatures, latency arbitrage behavior, and group-level scalping clusters — flagging accounts in real time before losses accumulate to material levels.
Live floating P&L across groups and symbols — both sides of the book. Your risk desk sees exactly what the broker is making or losing on open positions at any given second.
Automated comparison of LP execution reports against MT5 order data. Fill discrepancies, slippage mismatches, and rejection patterns are surfaced with a full audit trail — session by session.
Track net position size and directional bias per symbol in real time. Concentration alerts fire before a single instrument becomes a disproportionate share of your total book exposure.
Reads data at the infrastructure level without modifying any execution-critical components. No plugins, no bridge interference, and zero latency added to the order path — your execution quality is fully preserved.
These aren't edge cases. They're recurring patterns that define broker P&L variance — and the exact events RMS is built to catch.
NFP, CPI, and central bank announcements compress spreads and accelerate order flow. B-Book exposure spikes as internalized positions accumulate directional risk faster than manual review can track. RMS fires alerts before limits are crossed.
A hedge order confirms at LP — but fills 4 pips off target. Repeated across hundreds of orders, that deviation becomes a structural drag on net revenue. RMS surfaces the pattern session-by-session before it becomes a reconciliation surprise.
Coordinated accounts open short-duration trades with consistent positive expectation — exploiting latency or data advantages. By the time it's visible in monthly P&L, it's structural. RMS identifies the pattern in real time, not retrospectively.
Whether you need managed infrastructure or full on-premise control, RMS fits your operational model without requiring changes to your existing MT5 setup.
Zero infrastructure overhead. StreamKube manages provisioning, scaling, updates, and uptime. You focus on risk — we handle the platform.
For brokers with regulatory mandates or existing infrastructure requirements. RMS deploys within your own environment with no external data dependencies.
RMS connects to your MT5 infrastructure without modifying any execution-critical components. No changes to trading logic. No downtime.
Discuss Your Setup →Book a 30-minute technical walkthrough. We'll demonstrate RMS operating in a live MT5 trading environment, walk through real exposure data, toxic flow detection, and LP reconciliation — no slides, no obligation.
Fill in your details and we'll reach out to schedule a 30-minute live demo of the product.
We'll reach out within one business day to confirm a demo time. In the meantime, feel free to email us directly at contact@streamkube.com.
📅 Schedule Now on Calendly →We look forward to speaking with you.