Become a Fund Manager with TradersEra

Steps to Become a Fund Manager

null

Create Your TradersEra Account

Register on TradersEra by filling out
the necessary details. Complete the verification process to ensure security
and compliance.


null

Prepare Your Strategy

Develop a trading plan that aligns
with your investment strategy, then implement robust risk management techniques to protect investors’ capital.


null

Apply to Become a Fund Manager

Submit an application through your TradersEra email, [email protected]. Our team will review your application and strategy to ensure it meets our standards.

null

Showcase Your Expertise

Set up your fund profile, detailing
your strategy, performance, and goals. Communicate effectively with potential investors and address their queries.



null

Start Managing Funds

Begin trading according to your strategy and manage the funds efficiently. Regularly review and adjust your strategy based on market conditions and fund performance.


null

Build Your Reputation

Focus on achieving consistent returns and building trust with your investors. Keep investors informed with regular updates and reports.




Become an Introducing Broker with TradersEra

Tips for Success

  • Stay Informed: Keep up with market trends and economic news to make informed decisions.
  • Analyze Data: Use analytical tools to track performance and adjust strategies as needed.
  • Communicate clearly: Provide transparent and
    timely updates to your investors.
  • Learn continuously: Stay open to learning and adapting to new trading strategies and technologies.

Fund Managing Activities at TradersEra is governed by LPOA (Limited Power of Attorney) which gives fund manager an access to the trading account of their Investors.


This access entitles them to Trade and manage trading activities of the clients. To safeguard the Clients and Fund Manager interests, the KYC and AML restrictions are in place and the profit split as set between the client and fund manager will be governed and processed as per the LPOA and calculation will be done as END OF Last Friday of Trading Month.


For more information please speak to our support team or contact your Dedicated Account Manager assigned.