About the Company

Engineering the
Future of Financial
Technology

PATI CREATIVE AGENCY LIMITED is a registered corporate infrastructure provider delivering backend technology, enterprise market data feeds, and b2b liquidity solutions to institutional and corporate clients operating in global financial markets. We do not serve retail clients or provide financial advice.

// Registered Entity Details
Legal Name
PATI CREATIVE AGENCY LIMITED
Registered Address
RM4, 16/F, HO KING COMM CTR, 2-16
FAYUEN ST, 旺角
Hong Kong
Operational Base
Asia-Pacific — Hong Kong SAR
Client Type
Registered corporate entities only
Enquiries
01
Who We Are

Corporate Infrastructure Provider for Global Markets

PATI CREATIVE AGENCY LIMITED operates as a backend technology infrastructure provider for institutional and corporate clients across the global financial markets ecosystem. Our Asia-Pacific operational base, headquartered in Hong Kong SAR, supports a global client footprint spanning registered brokerage entities, institutional trading firms, and financial technology operators.

We specialise in the design, deployment, and maintenance of financial software development infrastructure underpinning brokerage operations, including order execution pipelines, liquidity aggregation systems, white label platform environments, and real-time enterprise market data feeds. All services are delivered strictly on a business-to-business basis. We do not accept retail client funds, offer investment advice, or hold any broker-dealer licence.

B2B Liquidity Solutions
Institutional-grade liquidity routing and aggregation for registered corporate entities.
Financial Software Development
Custom API bridges, execution engines, and white label platform builds.
MT4 Server Infrastructure
Margin engines, MT4 server configuration, and liquidation systems for corporate platform operators.
02 / Infrastructure

Our Infrastructure

Our server architecture is built around three primary co-location facilities, positioned to minimise latency to the world's principal liquidity venues. Primary compute clusters are deployed at Equinix LD4 in Slough, England, and NY4 in Secaucus, New Jersey, with an Asia-Pacific cluster housed within the TY3 facility in Tokyo. All nodes operate in active-active configuration with automated failover and sub-second recovery SLAs.

Each corporate client environment is provisioned within an isolated network segment with dedicated VLAN partitioning, encrypted inter-node communication channels, and hardware-level access controls enforced at the rack layer. Infrastructure state is monitored continuously with anomaly detection integrated into our operations pipeline, ensuring deviations are surfaced and remediated before client systems are impacted.

  • Active-active multi-region deployment across LD4, NY4, and Tokyo
  • Automated sub-second failover with contractual recovery targets
  • Dedicated VLAN segmentation per corporate client entity
  • Encrypted inter-node channels and hardware access enforcement
  • Continuous infrastructure monitoring with anomaly alerting
  • Redundant storage with synchronous replication across nodes
// Co-location Facility Status
LD4
Equinix LD4
Slough, England — Primary EU/London
Live
NY4
Equinix NY4
Secaucus, NJ — Primary Americas
Live
TYO
TY3 — Tokyo Cluster
Tokyo, Japan — Primary Asia-Pacific
Live
99.99%
Uptime SLA
Contractual Guarantee
All Production Environments
Active-Active
Failover
< 1s Recovery
03 / Services

B2B Liquidity Solutions

All services are delivered exclusively to registered corporate entities. Prospective clients are required to provide corporate registration documentation and pass counterparty verification before any service agreement is executed. We do not onboard individuals, unregistered entities, or retail market participants.

Our three core service categories cover the full operational requirement of a corporate brokerage or institutional trading firm: b2b liquidity solutions for execution infrastructure, MT4 server infrastructure for margin engine and platform operations, and financial software development for custom platform builds and API integrations.

Clients operating across multiple jurisdictions are supported through configurable compliance routing, jurisdiction-specific KYC tier configuration, and dedicated CRM environments. Multi-region corporate entities and MAM platform configurations are standard supported archetypes within our platform stack.

01
B2B Liquidity Solutions
Enterprise order routing, liquidity aggregation, FIX and WebSocket connectivity, and real-time enterprise market data feeds delivered to corporate entities across FX, XAUUSD, and US30 asset classes.
02
MT4 Server Infrastructure
Margin management engines supporting low latency MT4 configurations, automated liquidation logic, cross-margin and isolated margin modes, and real-time exposure monitoring for corporate MT4 server operations.
03
Financial Software Development
MT4 and MT5 bridge integration, enterprise platform delivery, custom CRM for brokers, brokerage setup software, and API development for institutional matching engine connectivity.
04 / Compliance
Layer 1
KYC Pipeline Architecture
Layer 2
Counterparty Verification
Layer 3
AML Screening Integration
Layer 4
Audit Log Infrastructure
Layer 5
Anomaly & Alert Pipeline
Institutional Fraud Prevention

Compliance at the Infrastructure Layer

Fraud prevention and compliance controls are implemented at the infrastructure layer rather than delegated to client-side processes. Our KYC pipeline architecture governs entity verification workflows from initial onboarding through ongoing counterparty monitoring, with each stage producing structured audit records.

AML screening is integrated directly into the client onboarding flow, with configurable risk scoring applied at the corporate entity level. Audit logging captures all significant system and transaction events, providing an immutable record for compliance reporting and incident investigation. Anomaly detection runs continuously across order flow and account activity, surfacing deviations for review.

KYC Pipeline
Tiered document verification and entity validation at onboarding.
Counterparty Verification
Registration document checks and beneficial ownership confirmation.
Audit Logging
Immutable event records across all system and order-flow activity.
AML Screening
Integrated risk scoring and sanctions screening at entity level.

Engage as a Corporate Client

All onboarding begins with a corporate entity review. Submit an enterprise inquiry to initiate the qualification process. Registration documentation and counterparty verification are required before any technical scoping or service provisioning takes place.

We provide backend technology infrastructure and API routing for registered corporate entities.
We do not provide financial advice, accept retail client funds, or operate as a licensed broker.
Submit an Enterprise Inquiry