Business funding

International Structured Finance Solutionsfor Ambitious Businesses.

Tailored corporate funding, revolving credit facilities, trade finance and growth capital solutions for SMEs, mid-market companies, and developers operating across borders.

$5M – $500M+
Facility range
3 offices
BVI · Madrid · Geneva
Senior-led
Direct decision-maker access
Cross-border
Multi-jurisdiction underwriting

International Reach

BVI · Madrid · Geneva offices · cross-border transactions worldwide

Large-Ticket Capability

$5M – $500M+ structured facilities for institutional-grade projects

Confidential Handling

Strict NDA-protected process · senior case-manager ownership of every file

Bespoke Underwriting

Tailored structures · case-by-case · no off-the-shelf consumer products

Positioning

Flexible institutional-style funding solutions for growing businesses worldwide.

A premium alternative to traditional banking channels — built for SMEs, mid-market companies, international entrepreneurs, developers, trading companies, import/export firms, and high-value business owners.

Flexible capital accessBespoke structuringInstitutional-grade solutionsConfidential handlingGrowth-focused financeTailored underwriting
Featured transactions

Bankable realities for complex projects.

See all case studies →
Energy · MENA

$120M project facility

Structured a multi-tranche project facility for a renewable energy development with cross-border off-takers and ECA support.

Real Estate · Europe

€45M development bridge

Bridge facility for a mixed-use scheme, structured alongside a local senior lender with a clear refinancing exit.

Trade · Asia-Africa

$18M revolving LC line

Insurance-backed receivables and LC facility for an importer with seasonal working-capital cycles.

Examples are illustrative and anonymised. All transactions are subject to client confidentiality.

Funding timeline

Nine stages, from enquiry to disbursement.

Full process timeline →
01
Initial Consultation
Submit your project for confidential review by a senior case manager.
02
Documentation & File Preparation
Provide supporting documentation; your Account Manager organises your file for internal review.
03
Compliance & Preliminary Assessment
KYC/AML, sanctions screening, document verification and jurisdictional review.
04
Preliminary Committee Review
Internal assessment for underwriting suitability; an Indicative or Conditional Funding Assessment may be issued.
05
Optimisation & Underwriting Preparation
Optional service to refine the application package to institutional standard. Refundable collateral may apply.
06
Formal Underwriting
Full risk, legal, credit and compliance review with facility structuring.
07
Final Approval & Documentation
Final commercial terms, facility structure, drawdown schedule and formal agreements.
08
Disbursement
Funds released per contract — direct, escrow, counterparties, tranches or milestones.
09
Post-Transaction Support
Tranche coordination, reporting, renewals, restructuring and additional funding discussions.
Get started

Discuss your funding requirements with a senior case manager.

Confidential. Business-only. International. Subject to underwriting.