Trader Manager GUI
Trader Manager GUI is an on-chart control panel for traders who execute manually and need to act fast. It is built for rapid scalping and intraday day trading, where decisions and order execution must happen in a single click. The panel keeps every essential trade action in front of you, so you spend your attention on the chart instead of dialog boxes.
This is a precision tool intended for experienced traders. It does not generate signals or trade automatically. You stay in full control of every entry, exit, and adjustment.
What it does
Place market Buy and Sell orders with one click, using your pre-set Stop Loss and Take Profit. Position size is calculated two ways, switchable from the panel: fixed lot, or automatic risk-based sizing that derives the lot from your account balance, your chosen risk percentage, and your stop distance. Because sizing uses the symbol's tick value, it works consistently across metals, ETFs, and currencies.
Pending orders (Buy Limit, Sell Limit, Buy Stop, Sell Stop) can be placed at a typed price with the same risk settings. Open trades are managed with dedicated buttons: Close All, Close Profit only, Close Loss only, Reverse, Breakeven, and a Trailing Stop toggle. A live information panel shows the current spread, open position count, balance, equity, floating result, and the realized result for the current day.
Designed for speed
Every function is a single button or input field. The Risk/Fixed toggle, the SL and TP fields in points, and the live R:R readout let you set up a trade and fire it in seconds, which suits fast scalping and active day trading sessions.
Inputs
Magic number — identifier for orders placed by the panel.
Max slippage (points) — maximum allowed price deviation on market orders.
Manage all symbols — if disabled, the panel only acts on the chart symbol.
Start in Risk% mode — choose the default sizing mode at startup.
Default risk per trade (%) — risk used by automatic lot sizing.
Default fixed lot size — lot used in fixed-lot mode.
Default Stop Loss (points) — initial SL distance.
Default Take Profit (points) — initial TP distance.
Breakeven trigger (points) — profit required before the Breakeven button moves the stop.
Breakeven lock (points) — distance locked beyond entry when breakeven is applied.
Trailing start (points) — profit required before trailing begins.
Trailing distance (points) — gap kept between price and the trailing stop.
Panel X / Panel Y — panel position on the chart.
Anchor corner — chart corner the panel is anchored to.
Buy / Sell button color — panel button colors.
Note
Risk-based sizing requires a Stop Loss to be set. Stop distances are automatically adjusted to your broker's minimum stop level.