Monetize & Leverage Banking Instruments with Ease
Discount your Letters of Credit (LC), Bank Guarantees (BG), and Standby LCs (SBLC) at aggressive institutional discount margins through prime partner banks.
- Ticket Size: ₹2 Cr - ₹150 Cr with competitive institutional pricing
- Speed to Sanction: Fast-track term sheets delivered in 4 - 8 Working Days
- Syndication Network: Direct underwriting placement with 40+ Scheduled Banks & NBFCs
- Zero Equity Dilution: 100% structured debt with flexible covenants and customized moratorium
Connect with Structuring Team
Confidential Advisory · Indicative Term Sheet in 48-72 hrs
Explore Banking Instrument Funding Facilities
Every business requires a distinct capital structure. Choose from our specialized institutional instruments below to match your operational and commercial needs.
LC Discounting
Discounting of Inland and Foreign Letters of Credit at fine corporate interest rates.
BG Discounting
Monetizing eligible financial bank guarantees to generate immediate liquid cash.
SBLC Discounting
Discounting Standby Letters of Credit issued by top global and domestic financial institutions.
Usance LC Funding
Immediate payment against deferred usance letters of credit until maturity date.
Standby LC Structures
Securing credit enhancement for domestic loans via offshore and domestic SBLC guarantees.
Deferred Payment Guarantee Funding
Financing backing long-term capital equipment purchases under deferred guarantee obligations.
Performance BG Funding
Structuring working capital backing to establish high-value contractual performance bonds.
Financial BG Structures
Credit backing facilities for procuring financial bank guarantees for statutory or commercial needs.
Bank Guarantee Monetisation
Transforming dormant bank guarantees into active, deployable corporate liquidity.
Letter of Comfort Structures
Structuring parent-company comfort commitments into bankable secondary debt security.
Documentary Credit Structures
Comprehensive advisory on commercial documentary credits and bill collection mechanisms.
Swift-Based Trade Structures
Secure MT760, MT799, and MT700 Swift message validations and accelerated funding lines.
Eligibility & Required Documentation
Streamlined institutional criteria designed to accelerate assessment without prolonged corporate bureaucracy.
Minimum Eligibility Criteria
- Instruments issued by Scheduled Commercial Banks or Top-Tier International Banks
- Irrevocable, transferable/assignable instrument terms as per ICC rules (UCP 600 / URDG)
- Underlying transaction backed by genuine commercial contract or supply order
Standard Documentation Checklist
- Full copy of Bank Guarantee / Letter of Credit / SBLC text
- Swift transmission confirmation copy (MT700/MT760)
- Underlying Commercial Contract / Purchase Order / Agreement
- Corporate Resolution & Signatory KYC
The 4-Step Execution Roadmap
From confidential balance sheet assessment to capital disbursal in weeks, not months.
Confidential Assessment
Our credit team analyzes your cash flow schedules, GST files, bank statements, and debt service capacity under strict NDA.
Bespoke Structuring
We tailor the ideal covenant structure, repayment holiday, and instrument mix to match your business operating cycles.
Syndication & Term Sheet
We present the structured proposal to shortlisted institutional lenders, securing competitive pricing and optimal terms.
Sanction & Disbursal
Complete legal documentation, escrow integration, and accelerated disbursal directly into your operational accounts.
Ready to Structure Banking Instrument Funding?
Speak directly with a Senior Debt Structuring Director to explore customized lines from ₹1 Crore up to ₹500 Crore.