Trades files work with exports from most brokers and journals — you can adjust the column mapping before anything is saved.
Payout/expense files need Firm, Date and Amount columns; a combined file adds a Type column (trade / payout / expense) and everything routes automatically, creating any firm it doesn't know yet.
Use read-only API keys only — the sync can never place trades. Keys are checked against the broker, encrypted on the server, and never shown again.
Filters
Trades
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By instrument
By setup
By session
Long vs short
By day of week
By trading account
Playbook
One entry per strategy, with its rules written down. Tick those rules when you log a trade and this tab shows which of your models actually makes money — and which rule costs you when you skip it.
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Total spent on firms
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Total payouts received
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Net result
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Firms tracked
Add a new entry — payouts & expenses
Log a payout you received or an expense you paid.
No prop firm tracked yet — add one in the panel just below (FTMO, Topstep, Apex…), and this form unlocks so you can log its payouts and expenses.
Add a prop firm
Cash flow — fees out, payouts in
Account
Instruments
Setups
Sessions
Tags
Demo data
Explore every journal feature with a realistic sample: four months of trades plus three prop-firm accounts with payouts and fees. Demo entries are marked internally, so removing them never touches your real trades.
Edit playbook
Start from an academy model
Your copy is yours. Editing its rules never changes the lesson, and the lesson changing never rewrites your history.