Services
Automation Services Built Around Your Broker
From initial broker connection to live strategy deployment and ongoing monitoring, Sinclair Ltd delivers a complete operational layer for algorithmic trading.
Get a QuoteWhat Sinclair Ltd Builds and Delivers
When you engage Sinclair Ltd, you receive a configured automation pipeline, not a generic software license. The process begins with a broker integration audit: we review your broker's API documentation, test authentication, and confirm supported order types. We then translate your strategy rules — entry signals, exit conditions, position sizing logic — into a structured execution script using our proprietary Sinclair Strategy Language (SSL), which compiles to native API calls for your specific broker. You receive the compiled script, a backtesting report against 36 months of historical data, a configured risk-control profile, and access to the monitoring dashboard. Typical onboarding takes seven to fourteen business days depending on broker complexity.
Core Service Modules
Each module can be adopted individually or combined into a full-stack automation deployment.
Broker Integration & Onboarding
Full API connection setup for your chosen broker, including credential management, order-type mapping, and a live order test before handover. We document every integration step so your team can re-authenticate independently when broker credentials rotate.
Strategy Encoding & Deployment
We translate your written or verbal strategy description into executable SSL scripts. Three revision cycles are included. Once approved, the script is deployed to our execution servers located in a low-latency data centre with connectivity optimised for major African and European market venues.
Historical Backtesting Reports
Each backtest covers a minimum of 36 months of cleaned tick data. Reports include gross win rate, average trade duration, maximum consecutive loss sequence, estimated annual execution costs, and a Monte Carlo stress simulation to show how the strategy behaves under varied market volatility scenarios.
Risk Control Configuration
We work through your risk parameters with you in a structured session: maximum daily drawdown, per-trade risk percentage, instrument-level position caps, and emergency halt conditions. These are encoded directly into the execution layer, not stored as advisory notes that the system can ignore.
Monitoring & Alerting Setup
Your dashboard is configured with named alert thresholds: equity watermarks, trade frequency anomalies, broker connectivity interruptions, and margin proximity warnings. Alerts are delivered via email and, where supported by your broker, via in-platform notifications so you are never the last to know about a system state change.
The backtesting report Sinclair produced for my gold strategy was the most detailed document I had received from any technology provider — and I have worked with three others. Seeing the Monte Carlo simulation results against 2020 volatility data gave me the confidence to go live with a position size I would not have risked otherwise. Three months in, the drawdown profile has matched the report almost exactly.
Fatuma Nakato, Commodity Trader, Kampala
Technical Specifications
Sinclair's execution infrastructure is designed for reliability in East African network conditions, with fallback routing and connection redundancy built in.
Sub-Second Execution Latency
Order dispatch from signal trigger to broker API receipt averages under 400 milliseconds on standard connections, with a fallback routing path that activates automatically if primary connectivity degrades beyond a defined threshold.
24/7 Automated Operation
The execution environment runs continuously across all configured market sessions — London, New York, and Asian hours — without requiring manual restart or supervision between sessions.
Broker Credential Rotation Support
When your broker requires periodic re-authentication, the platform surfaces a credential update prompt and validates the new credentials in a sandbox environment before switching the live connection, eliminating downtime from routine security rotations.
Common Questions About the Service
Which brokers does Sinclair currently support?
We support all MT4 and MT5 compatible brokers, Interactive Brokers, OANDA, Pepperstone, and a growing list of Africa-based brokers including those regulated by the Capital Markets Authority of Uganda. If your broker is not on our current list, contact us — we assess new integrations on a case-by-case basis and have onboarded four new brokers in the past twelve months.
Do I need to provide my own trading strategy?
Yes. Sinclair Ltd is a strategy-execution tool, not a signal provider. You supply the rules — entry conditions, exit conditions, position sizing, and risk limits — and we encode and automate them. We do not provide investment advice or generate trade signals on your behalf.
What happens if the broker API goes offline?
The platform detects broker API unavailability within 60 seconds and fires an alert to your registered contact methods. All open positions remain at the broker; we do not attempt to close or modify positions during an outage unless you have a pre-configured emergency halt rule that instructs us to do so.
Is my strategy code kept confidential?
Yes. Your encoded strategy scripts are stored in an isolated environment accessible only to your account. Sinclair Ltd staff do not review strategy logic without your explicit written consent. You can request a full export or deletion of your scripts at any time.
How long does onboarding take?
Standard onboarding — from signed agreement to live deployment — takes seven to fourteen business days. Most of that time is consumed by broker API testing and the three-cycle strategy revision process. Clients who arrive with a fully documented strategy rule set often complete onboarding in under seven days.
See the Full Pricing Breakdown
Three plans cover solo traders through to small institutional desks. Every plan includes broker integration and dashboard access.
View Pricing Plans