Every feature built for disciplined treasury decisions
Burj Al Wasl combines AI-driven strategy selection, transparent copy-trading, and continuous oversight so your reserves are managed with the same rigor as the rest of your balance sheet.
Schedule a Briefing
AI-driven selection, not blind automation
Rather than running a single fixed model, Burj Al Wasl continuously evaluates a curated set of vetted strategies against current market conditions and your treasury's stated risk tolerance, then allocates accordingly.
-
Rule-based screening Strategies are filtered against defined risk and drawdown thresholds before allocation is considered.
-
Continuous re-evaluation Allocations are reassessed on a scheduled cadence rather than left static once selected.
-
Configurable risk ceilings Treasurers set the boundaries; the system operates inside them, not around them.
Transparent copy-trading with a visible audit trail
When a strategy is approved for allocation, trades are mirrored into the treasury account with position sizing scaled to your configured exposure limits — not the source strategy's raw size.
-
Scaled position sizing Trade size is recalculated against your account's exposure caps before execution.
-
Execution logging Every mirrored trade is timestamped and recorded for later review.
-
Manual override Authorized users can pause mirroring on any single strategy at any time.
A repeatable process, not a black box
Define parameters
Set the risk ceilings, asset classes, and drawdown limits that any candidate strategy must respect.
System evaluates strategies
The AI layer screens available strategies against your parameters and current market signals.
Review and approve
Recommended allocations are presented for confirmation before capital is committed.
Mirror execution
Approved strategy trades are copied into your account at your defined position scale.
Monitor continuously
Positions and strategy performance are tracked against thresholds throughout the holding period.
Rebalance or exit
When conditions or performance breach defined limits, the system flags rebalancing or exit.
Visibility into what the system is doing, and why
Treasury teams need more than a dashboard of numbers — they need to understand the reasoning behind an allocation. Burj Al Wasl keeps that reasoning accessible.
Allocation rationale
Each active allocation is tied to the screening criteria it passed, viewable on request.
Exposure summary
A consolidated view of current exposure by strategy, asset class, and risk band.
Threshold alerts
Notifications trigger when a position approaches a configured risk or drawdown boundary.
Reporting reflects platform activity as configured by your treasury team; figures are illustrative of structure only and depend on your account's specific setup.
Where these features apply in practice
Putting uncommitted cash to disciplined use
Reserves sitting outside operating cycles can be allocated to screened strategies with clear exit conditions, rather than left entirely idle or exposed without structure.
Consistent rules across subsidiaries
Applying the same screening logic and risk ceilings across multiple accounts helps keep treasury policy consistent, even when day-to-day management is decentralized.
Documentation for governance review
Allocation logs and threshold histories give risk committees a concrete record to review, rather than relying on verbal summaries of trading activity.
Feature-specific questions
Can we restrict which strategies are eligible for our account?
Yes. Eligibility filters are configured at the account level, and only strategies passing those filters are considered for allocation.
How quickly can mirrored trades be paused?
Authorized users can suspend mirroring for a specific strategy from within the account controls; the pause applies before the next execution cycle.
Is the allocation logic fixed once set up?
No. Parameters can be revised at any time, and the system re-evaluates strategies against updated settings on its normal review cadence.
Do we retain access to historical allocation records?
Allocation and execution logs are retained within the platform for reference, subject to the retention configuration on your account.
See these features applied to your treasury
Walk through strategy screening, copy-trading mechanics, and oversight reporting with our team before committing any capital.