Structured Commodity Trade Finance Solutions for Exporters
Financely’s structured commodity trade finance solutions
equip exporters with the funding they need to scale. Whether you’re an agribusiness seeking pre-export financing for agricultural commodity exporters
or an oil trader arranging shipment credit, our turnkey service delivers a lender-ready facility package in just 5–10 business days.
Pre-Export Financing for Agricultural Commodity Exporters
Unlock working capital against future shipments with our pre-export financing for agricultural commodity exporters. We structure facilities against your crop offtake agreements, align draw schedules to harvest cycles, and secure competitive rates—so you can fund inputs now and repay upon shipment.
Structured Trade Finance Solutions for Oil and Gas Shipments
Managing large-scale crude or refined product flows requires robust structured trade finance solutions for oil and gas shipments. Our team crafts borrower-friendly term sheets, comprehensive risk mitigants and waterfall diagrams—ensuring banks and trade-credit insurers provide the necessary capacity.
How to Secure Commodity Trade Finance for Working Capital
Many traders wonder how to secure commodity trade finance for working capital
without tying up equity. We design revolving credit lines, receivables financing and warehouse financing structures, backed by inventory as collateral, so you maintain liquidity through seasonal market swings.
Structured Trade Finance Tools for Bulk Mineral Shipments
Exporters of iron ore, copper or other minerals benefit from our structured trade finance tools for bulk mineral shipments. We integrate offtake agreements, port logistics schedules and quality certificates into your financing package, minimizing lender due diligence and accelerating drawdowns.
Inventory Financing Solutions for Commodity Trading Firms
Bridge cash-flow gaps with inventory financing solutions for commodity trading firms. Our structures include revolving warehouse lines and floor-plan financing, allowing you to monetize stockpiles while maintaining operational flexibility.
Core Deliverables & Timeline
- Customized facility term sheets and drawdown schedules
- Risk mitigation documentation: letters of credit, guarantees, warehouse receipts
- Three-statement cash-flow model aligned to commodity cycles
- Capital stack advisory: senior trade loans, mezzanine notes, equity support
- Complete diligence pack: offtake contracts, inspection certificates, title reports
Structured and delivered for a flat USD 15,000 fee—ready in 5–10 business days.