Professional Services. Page prepared October 2025. We arrange trade finance through regulated partners. Engagements proceed under a retainer-backed mandate with a success fee on drawdown.
Trade Finance Specialist
We structure, underwrite, and place trade finance so shipments and contracts convert to cash on schedule. Letters of credit, SBLCs, pre-export and receivables finance handled end to end.
Focus areas are clear. Liquidity timing, counterparty risk, and bank acceptability. We design a bankable structure, build a lender-ready pack, run a real term sheet process, and guide documents to closing for USD 5–150M programs.
Problems We Solve
- Cash locked for 60–180 days after shipment
- Suppliers demanding prepayment or stronger security
- Buyer credit risk and uneven bank appetite
- Document and process issues that stall payment
What You Get
- Structure and terms that pass credit committee
- Lender-ready data room and clean process
- Term sheet options from qualified funders
- Document steering through to drawdown
Request Your Term Sheet
Share counterparties, contracts or POs, shipment plan, and recent trades. We will return a structure, an indicative terms range, and a path to close.
Start Client IntakeDisclaimer. We act as arranger and advisor under a chaperone model with regulated partners. This page is informational and not a securities offer. All transactions are subject to diligence, legal review, and investor approval.