Configure Customer Payment Gateways
How to set up and manage integrated third-party payment gateways for customer deposits.
How to set up and manage integrated third-party payment gateways for customer deposits.
How to set margin call, stop out, and warning levels for individual accounts.
How to modify account properties, adjust balances, and change trading permissions.
Detailed explanation of all parameters and settings for configuring grid trading bots.
How to view, add, and update the list of countries available in the system.
How to add, view, and update the currencies used for accounts, wallets, and transactions.
How to add and manage the languages available for the client portal and emails.
How to configure and manage third-party service integrations.
How to create and manage categories for email templates.
How to set the execution type for different transaction categories.
How to monitor and track all emails sent through the Traders Room system.