HOW THE SYSTEM WORKS?
Below you'll find a brief demonstration of how we can manage to support consistent daily returns without losing financial balance. Main emphasis was placed on data / funds flow efficiency derived from OTC brokers profits against members returns priorities.
DATA FLOW MECHANISM
The diagram below shows the internal logistics of our app. We've configured it to divide members into priority classes based on their loan placement time (crossing BEP on 22nd day requires more resources).
The teams goal is to control operational priorities such as: risk assessment, timely returns on loans, allocation of profits from partners, and more.