Everything your customers ask an assistant to do.
Masmak Net publishes an MCP interface exposing broker-neutral tools across the full customer surface, reaching your existing systems through a certified adapter layer and a canonical data model.
Trading
Broker-neutral tools for the full trading surface, bridged to the systems you already run.
- Quotes, orders, positions and history
- Bridges to MT5, MT4 and proprietary engines
- Trading-grade latency and entitlement models
Account data
Everything a customer asks for about their own account, answered by an agent instead of your support desk.
- Statements, balances and trade analytics
- My Account data exposed through one contract
- Report requests handled without a ticket
CRM & onboarding
Your customer lifecycle, reachable by agents without exposing your CRM.
- Onboarding and KYC status
- Support tickets against your own CRM
- Adapters for bespoke systems
Payments
Deposit and withdrawal journeys that agents can drive under your existing providers.
- Deposits, withdrawals and wallet operations
- Routed via your own payment services
- No client funds ever held by us
Compliance & audit
The part that makes agent trading defensible to your regulator.
- Assert where a trade occurs, in whose regulatory space
- Appropriateness checks when a non-human places a trade
- Audit trails proving who authorised each action
Controls & reporting
Operational guardrails and reporting, built in rather than bolted on.
- Leverage and negative-balance protection
- Least-privilege, fully audited access
- Automated reporting to brokers and regulators
Measured against your own operating costs.
Lower cost of support
Balance queries, report requests, deposit and withdrawal tracking and password resets run around USD 100k a year at a typical broker. Deflecting 20–30% of that pays for the subscription on its own.
New revenue
Agent-originated volume is upside we deliberately don't overclaim today — but it is where we expect the primary value to sit as customers move their trading into assistants.
Operational resilience
Contractual SLA availability, a documented exit plan, right-to-audit and sub-outsourcing disclosure — written into the standard contract to meet your resilience obligations.