B2TRADER
B2TRADER

Essentials for Brokers

Smart Routing & Execution Control

The Routing and Execution module in the B2TRADER system provides flexibility and control over how orders are processed and executed.

Poloniex
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OneZero
PrimeXM
B2TRADER
Binance
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Kraken
OKX

It supports three distinct order execution types — A-Book, B-Book, and C-Book — allowing brokers to manage orders based on predefined parameters. Customizable routing rules enable precise control over order execution, tailored to user categories, account traits, and market specifications.

Key features

From Execution Models to Routing Rules

The module ensures precision, speed, and flexibility in managing client orders.

Three Execution Models

A-Book

Executes the entire order amount with a liquidity provider.

B-Book

Internally executes the order amount within the broker platform, without external LP involvement.

C-Book (Hybrid)

Splits the order amount, executing part on an LP and the remainder internally.

The price of the B-Book part is compared with the execution price of the A-Book part, guaranteeing the B-Book part isn't executed with outdated or less favorable quotes.

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B2TRADER routing dashboard with execution model rules

Customizable Routing Rules

Determine execution paths based on user, account, account group, market, and market group parameters.

Efficient Order Management

Ensures fast and optimized processing of trades according to pre-set brokerage rules.

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Edit routing rule form in B2TRADER admin

Execution process

How Every Order Moves Through the System

  1. STEP 01

    Order Execution Type Selection

    Determine based on the execution model (A-Book, B-Book, C-Book) and predefined routing rules.

  2. STEP 02

    Order Creation and Validation

    Orders are submitted and validated for regulatory and brokerage compliance.

  3. STEP 03

    Risk Management

    Immediate checks follow to ensure risk parameters are met.

  4. STEP 04

    Routing Matching

    Orders approved post-validation and risk management are directed based on routing rules to liquidity providers or matched internally.

  5. STEP 05

    Order Execution and Confirmation

    Executed orders are confirmed and recorded, with critical details relayed back to the client.

  6. STEP 06

    Market-Specific Processes

    CFD/PF positions impact margin and equity calculations; Spot transactions involve asset settlement.

  7. STEP 07

    Record-Keeping and Reporting

    Executed trades are archived for compliance, and detailed performance reports are generated.

Opportunities

Flexible Routing — More Business Opportunities

Discover the opportunities supported markets unlock — from stronger client engagement to expanded revenue potential.

Optimized Execution Strategy

Tailors execution models to business and client needs, balancing risk and maximizing profitability.

Risk Management

Effective control over how orders are executed and hedged, minimizing exposure and aligning with strategic objectives.

Operational Efficiency

Streamlined processes lead to faster execution and reduced costs.

Regulatory Compliance

Comprehensive order archiving and reporting ensure compliance with regulatory demands.

FAQ

A-Book, B-Book, and C-Book — each offering unique trade execution paths based on liquidity provider engagement and internal processing. A-Book routes the full amount externally; B-Book handles it internally; C-Book splits between both with price safeguards.

Routing rules can be configured per user, account, account group, market, and market group. You define which execution model applies to each combination, enabling granular control over how different client segments and instruments are processed.

Combining A-Book, B-Book, and C-Book lets you balance external hedging with internal profitability, tailor risk exposure per client segment, and optimize execution costs — all within a single unified platform.

Every executed trade is archived with full audit trails. The system validates orders at submission, enforces risk checks before routing, and generates detailed performance and compliance reports for regulatory review.

Yes. Routing rules support per-user, per-account, per-group, and per-market configuration — so you can assign A-Book to institutional clients, B-Book to retail flow, and C-Book hybrids for specific instruments or regions.

Ready to Control Your Trade Flow on B2TRADER?

Open a demo account or book a walkthrough with our team.

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