Пополнение счетов copy trading и MAM

Переведите деньги с wallet клиента (или другого счёта) на master или investment-счёт.

Для администраторов

Copy Trading and MAM accounts — both master and investment — are funded by transferring money from the client’s wallet (payment account) or from another of the client’s copy-trading/MAM accounts.

The rules

  • Transfers are only possible between wallets and accounts denominated in the same currency.
  • The transfer amount is debited from the source account and credited to the destination as a balance operation on the trading server.
  • If your deployment requires approval for transfers, the operation is created as a request and executed once an administrator approves it (such requests carry the Investment Transfer type).

Where to do it

  1. Client-side (preferred)

    Clients fund their own accounts in the Web UI via Transfers — see Fund an account quickly in the user guide. As an admin you normally only monitor these operations.

  2. Admin-side balance operation

    To credit an account manually, open it under Copy Trading / MAM → Masters or Investors, switch to the History Loader tab, and create a deposit balance operation. This requires the financial-operations right.

  3. Verify the result

    Check the account’s Balance on its Properties tab, and the operation record under Clients → Transactions → Transfers.

History Loader tab of an account
The History Loader tab — manual balance operations on an account.

In full solutions integrated with B2CORE, client deposits (card, crypto, bank) land on the wallet through the CRM cashier first; B2COPY only moves money between the wallet and the trading accounts.

Manual balance operations move real balances on the trading server. Double-check the account, currency, and amount before saving.

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2–4 недели

Время до запуска

$0

Стоимость инфраструктуры

40%+

Рост объёма