Build an SaaS Trading Platform in Minutes With AI
Create your saas trading platform in minutes with AI. Add user accounts, billing, and backend from a prompt, and launch without coding.
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Emergent Key Features for Building a Trading Platform SaaS
Correctness under load is the entire requirement. A platform that is fast and occasionally wrong is worse than one that is slow.
Order State That Cannot Be Ambiguous
Every order has one authoritative state with a full transition history, because a client and the platform disagreeing about whether an order filled is unrecoverable.
Pre Trade Risk Checks Enforced
Position, exposure and buying power limits are checked before an order is accepted rather than reconciled afterwards.
Idempotent Order Submission
A retried submission cannot create a duplicate order, which is the failure that occurs precisely when the network is under stress.
Execution Quality Recorded
Fills captured against the price available at submission, since best execution obligations require evidence rather than assertion.
Positions Reconciled Continuously
Internal positions compared against the clearing or custody record throughout the day rather than at close, when a difference is far harder to trace.
Audit Trail on Every Action
Who did what, when, and what the system state was, which is what a regulator, a dispute and an incident review all require.
Trading Platform SaaS Use Cases You Can Build in Minutes

One Authoritative Order State
Orders with a single current state and full transition history, amendments and cancellations handled deterministically, idempotent submission preventing duplicates, and every state change timestamped and attributable.
window.awbMockup = { orderManagement: "Build an order management system where every order has one authoritative state with a full transition history, amendments and cancellations are handled deterministically, submission is idempotent so a retry cannot duplicate, and every change is timestamped and attributable.", riskControls: "Build pre trade risk controls that validate position, exposure and buying power limits before an order is accepted, apply concentration limits by instrument and sector, aggregate exposure across accounts, and make the state of every control visible at all times.", executionAndReporting: "Build an execution reporting app recording fills against the price available at submission, measuring execution quality by venue and time of day, reporting slippage, and retaining the records required to evidence best execution obligations.", reconciliation: "Build a reconciliation app comparing internal positions and cash against clearing and custody records throughout the day rather than at close, surfacing breaks with the transactions behind them, applying corporate actions, and evidencing every adjustment made."};

Checked Before Acceptance
Position, exposure and buying power limits validated before an order is accepted, concentration limits by instrument and sector, aggregate exposure across accounts, and controls whose state is always visible.
Checked Before Acceptance
Position, exposure and buying power limits validated before an order is accepted, concentration limits by instrument and sector, aggregate exposure across accounts, and controls whose state is always visible.

Evidence, Not Assertion
Fills recorded against the price available at submission, execution quality measured by venue and time, slippage reported, and the records required to evidence best execution obligations retained.
window.awbMockup = { orderManagement: "Build an order management system where every order has one authoritative state with a full transition history, amendments and cancellations are handled deterministically, submission is idempotent so a retry cannot duplicate, and every change is timestamped and attributable.", riskControls: "Build pre trade risk controls that validate position, exposure and buying power limits before an order is accepted, apply concentration limits by instrument and sector, aggregate exposure across accounts, and make the state of every control visible at all times.", executionAndReporting: "Build an execution reporting app recording fills against the price available at submission, measuring execution quality by venue and time of day, reporting slippage, and retaining the records required to evidence best execution obligations.", reconciliation: "Build a reconciliation app comparing internal positions and cash against clearing and custody records throughout the day rather than at close, surfacing breaks with the transactions behind them, applying corporate actions, and evidencing every adjustment made."};

Find the Break While It Is Traceable
Internal positions and cash compared against clearing and custody records throughout the day, breaks surfaced with the transactions behind them, corporate actions applied, and every adjustment evidenced.
window.awbMockup = { orderManagement: "Build an order management system where every order has one authoritative state with a full transition history, amendments and cancellations are handled deterministically, submission is idempotent so a retry cannot duplicate, and every change is timestamped and attributable.", riskControls: "Build pre trade risk controls that validate position, exposure and buying power limits before an order is accepted, apply concentration limits by instrument and sector, aggregate exposure across accounts, and make the state of every control visible at all times.", executionAndReporting: "Build an execution reporting app recording fills against the price available at submission, measuring execution quality by venue and time of day, reporting slippage, and retaining the records required to evidence best execution obligations.", reconciliation: "Build a reconciliation app comparing internal positions and cash against clearing and custody records throughout the day rather than at close, surfacing breaks with the transactions behind them, applying corporate actions, and evidencing every adjustment made."};
Build your trading platform SaaS in four steps
Your instruments, order types, pre trade risk limits, position and exposure controls, and the conditions under which an order must be rejected rather than queued.
Your instruments, order types, pre trade risk limits, position and exposure controls, and the conditions under which an order must be rejected rather than queued.
Your market data feed, broker or exchange connectivity, and clearing or custody records. Positions reconcile against the clearing record throughout the day rather than at close.
A new asset class, an extra order type, changed risk limits, another venue. Pre trade checks continue to apply and order state integrity is unaffected.
Trade against a simulated environment and reconcile daily before any real order, because an ambiguous order state with real money is unrecoverable.
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