Engineering definitive capital release and risk mitigation for ₹1,000 Cr+ corporates.
We design and execute bespoke structural outcomes that address complex balance sheet challenges. Our capabilities are focused on delivering measurable financial and operational resilience.
Unlocking trapped capital from receivables and inventory through non-recourse monetization.
Transferring concentrated counterparty and market risk off-balance sheet.
Ensuring continuity of critical inputs through off-balance-sheet supplier credit structures.
Deploying capital for strategic growth beyond the constraints of traditional banking.
All engagements are confidential. The following anonymized outcomes demonstrate the structural impact of our interventions.
For a ₹700 Cr+ mandate, we engineered a structural solution that reduced receivable days from 175 to 58, releasing critical growth capital previously trapped on the balance sheet.
We structured and executed the transfer of 90% of buyer-side default risk off-balance sheet for a portfolio of global exporters, insulating them from counterparty failure in volatile markets.
For a corporate with annual procurement exceeding ₹1,100 Cr, we designed and implemented off-balance-sheet vehicles to stabilize supplier credit and ensure continuity of critical inputs.