Bonds, Guarantees & Leasing Solutions Contractual & Surety Bonds
Institutional

Win Mega Contracts with Security Bonds & Guarantees

Protect cash margins by replacing heavy bank guarantee collateral with modern Surety Bonds and bank-backed performance securities for government and EPC projects.

  • Ticket Size: ₹50 Lakh - ₹200 Cr with competitive institutional pricing
  • Speed to Sanction: Fast-track term sheets delivered in 3 - 7 Working Days
  • Syndication Network: Direct underwriting placement with 30+ Surety Insurers & Banks
  • Zero Equity Dilution: 100% structured debt with flexible covenants and customized moratorium
20+ Yrs Industry Exp.
Non-Dilutive Debt
3 - 7 Working Days
₹50 Lakh - ₹200 Cr

Connect with Structuring Team

Confidential Advisory · Indicative Term Sheet in 48-72 hrs

+91
COMPREHENSIVE STRUCTURES & FACILITIES

Explore Security Bonds & Guarantees Facilities

Every business requires a distinct capital structure. Choose from our specialized institutional instruments below to match your operational and commercial needs.

Bid Bond

Guarantee ensuring bidders honor submitted tender terms and execute contracts if awarded.

Tender Bond

Financial security deposited with project authorities during the bidding phase of public tenders.

Performance Bond

Securing compensation for project owners if the contractor fails to deliver specified standards.

Advance Payment Bond

Guarantees refund of mobilization advances if contractor fails to fulfill work stages.

Retention Money Bond

Replaces cash retention deductions, releasing trapped working capital back to contractors.

Maintenance Bond

Guarantees structural maintenance and defect repairs during the defect liability period (DLP).

Warranty Bond

Security protecting buyers against machinery, material, and product manufacturing defects.

Customs Bond

Guarantee guaranteeing payment of customs duties and compliance with import/export regulations.

Excise Bond

Bonds executed with central excise authorities for warehousing and movement of dutiable goods.

Judicial Bond

Court-ordered bonds providing financial security pending dispute arbitration or litigation.

Surety Bond

Collateral-free tripartite surety bonds issued by general insurance companies under IRDAI norms.

Contract Performance Security Bond

Comprehensive bonds covering execution milestones for commercial infrastructure contracts.

EPC Performance Bond

High-quantum performance securities designed specifically for Engineering & Construction majors.

Infrastructure Project Bond

Long-tenure institutional bonds backing concession commitments in national highway & rail projects.

Bank-Backed Security Bond

Hybrid instruments combining insurance underwriting with bank issuance for universal acceptance.

Corporate Guarantee Structures

Parent company and cross-corporate guarantees structured to satisfy tender authority standards.

Financial Guarantee Solutions

Commitments guaranteeing payment of financial settlements, tariffs, and royalties.

Project Completion Guarantee

Guarantees assuring project lenders that infrastructure will reach commercial operation date (COD).

Mobilization Advance Bond

Releasing upfront project mobilization cash without locking company cash deposits.

International Trade Security Bonds

Bonds accepted by international procurement bodies and foreign government departments.

UNDERWRITING FRAMEWORK

Eligibility & Required Documentation

Streamlined institutional criteria designed to accelerate assessment without prolonged corporate bureaucracy.

Minimum Eligibility Criteria

  • Contractors and developers with active government or private sector work orders
  • Demonstrated track record of completed similar projects within timeline
  • Financial stability with adequate net-worth and turnover metrics
  • For Insurance Surety Bonds: Satisfactory underwriting credit score

Standard Documentation Checklist

  • Tender / Work Order / Contract Award copy specifying bond requirements
  • Audited Financial Statements (last 3 years) and Net Worth Certificates
  • List of completed projects and running work-in-hand contracts
  • Bank statements and existing guarantee utilization status
HOW FINFLY SYNDICATES CAPITAL

The 4-Step Execution Roadmap

From confidential balance sheet assessment to capital disbursal in weeks, not months.

01

Confidential Assessment

Our credit team analyzes your cash flow schedules, GST files, bank statements, and debt service capacity under strict NDA.

02

Bespoke Structuring

We tailor the ideal covenant structure, repayment holiday, and instrument mix to match your business operating cycles.

03

Syndication & Term Sheet

We present the structured proposal to shortlisted institutional lenders, securing competitive pricing and optimal terms.

04

Sanction & Disbursal

Complete legal documentation, escrow integration, and accelerated disbursal directly into your operational accounts.

Ready to Structure Security Bonds & Guarantees?

Speak directly with a Senior Debt Structuring Director to explore customized lines from ₹1 Crore up to ₹500 Crore.

Apply for Term Sheet WhatsApp an Advisor
Chat with an Advisor