Inventory & Receivables Financing for Commodity Transactions
Commodity trading firms often face cash-flow gaps between procurement and sale. Financely’s inventory and receivables financing for commodity transactions
provides the liquidity you need—whether you’re wondering how to get receivables financing for grain exports
or need seasonal working capital for metals.
How to Get Receivables Financing for Grain Exports
Grain exporters can unlock capital by pledging endorsed warehouse receipts. Our receivables financing for grain exports
structures blend pre-shipment advances with post-shipment receivables lines, aligning draw schedules to vessel loading and payment terms.
Inventory Financing for Oil and Refined Products Traders
Oil traders holding refinery output can access inventory financing for oil and refined products traders. We design floor-plan and revolving warehouse facilities secured by commodity inventories, so you maintain trading flexibility while funding short-term storage and logistics costs.
Collateralized Pre-Payment Finance for Commodity Supply Chains
Collateralized pre-payment finance for commodity supply chains
bridges the gap between supplier payment obligations and end-customer receipts. We structure pre-payment notes backed by confirmed offtakes, reducing your upfront cash requirements without diluting equity.
Seasonal Working Capital Loans for Metal Exporters
Metal exporters can leverage seasonal working capital loans for metal exporters
to purchase raw materials during peak cycles. Our facilities incorporate repayment tiers tied to commodity price cycles and shipment schedules, protecting your margins against volatility.
Off-Take Receivables Financing Solutions for Bulk Commodity Deals
In large bulk transactions, off-take receivables financing solutions for bulk commodity deals
secure payment flows under long-term contracts. We map out drawdown conditions, sight letter-of-credit features and tranche schedules to optimize your capital structure.
Core Deliverables & Timeline
- Customized credit facility term sheets and collateral schedules
- Collateral documentation: warehouse receipts, offtake agreements, insurance certificates
- Cash-flow model aligned to commodity cycles and price forecasts
- Risk mitigation: letters of credit, performance guarantees, credit insurance structures
- Complete diligence pack: title certificates, quality inspections, port handling agreements
Delivered for a flat USD 15,000 fee—ready in 5–10 business days.