Who We Serve

Trusted by the World's Leading Institutions

GMG's clients include tier-one banks, central banks, asset managers, pension funds, insurance companies, and corporate treasuries — all demanding the highest standards of execution quality and regulatory conduct.

Banks & Financial Institutions

Tier-one and tier-two commercial and investment banks seeking institutional-grade inter-dealer brokerage across fixed income, derivatives, and FX. Our regulated multi-jurisdictional presence ensures seamless access for banks operating under varying regulatory regimes.

Asset Managers & Hedge Funds

Long-only asset managers and alternative investment vehicles executing large portfolio transactions with minimal market impact. Our voice brokerage expertise provides the discretion and market intelligence that electronic platforms cannot replicate.

Central Banks & Sovereigns

Central monetary institutions and sovereign wealth funds conducting reserve management and intervention operations. Our DIFC presence and relationships across the Middle East make us a preferred counterpart for MENA sovereign institutions.

Insurance Companies

Life and general insurance companies managing long-duration liability portfolios with complex fixed income and derivatives requirements. Our expertise in long-dated rates and inflation products is particularly relevant to ALM-driven strategies.

Pension Funds

Public and private pension schemes managing defined benefit liabilities through interest rate and inflation hedging programmes. Our brokers have deep experience supporting LDI strategies and the large-block execution they require.

Corporate Treasuries

Multinational corporations managing FX and interest rate risk arising from international operations. Our multi-currency expertise and MENA-regional presence is particularly valuable for corporates with significant GCC or African business.

Professional Clients & Eligible Counterparties Only

GMG provides inter-dealer brokerage services exclusively to professional clients and eligible counterparties as defined under the applicable regulatory frameworks (MiFID II, DFSA rules, and equivalents). We do not provide services to retail investors.

Prospective clients undergo a thorough onboarding process including KYC, AML checks, and regulatory classification before any trading relationship commences. This process protects both parties and ensures full compliance with our multi-jurisdictional regulatory obligations.

Enquire about client onboarding

Onboarding Requirements

01
Initial Enquiry
Contact our team with details of your institution and brokerage requirements.
02
KYC Documentation
Provide standard institutional KYC documentation including entity details, beneficial ownership, and authorised signatories.
03
Regulatory Classification
We assess your regulatory classification under the relevant regime and issue appropriate risk disclosures.
04
Legal Documentation
Execute our standard master brokerage agreement and any required addenda for your jurisdiction.
05
System Setup
Configure communication lines, settlement accounts, and reporting arrangements tailored to your operations.

Begin Your Onboarding

Reach out to our team to start the client onboarding process.

Contact Us