Flexible capital structures engineered for operational velocity
Every business operates with different cash flow patterns, growth trajectories, and capital needs. We design funding structures that align with your specific operational reality — not generic templates.
Fast-access capital for inventory, payroll, marketing, and operational expenses. Designed for businesses that need immediate liquidity to capture opportunities or manage seasonal fluctuations.
Flexible repayment schedules aligned with your revenue cycle. No requirement to explain every use of funds — we trust you to deploy capital where your business needs it most.
Acquire critical equipment, machinery, vehicles, or technology without depleting cash reserves. The equipment itself serves as collateral, allowing for more favorable terms.
Structured to match asset depreciation schedules and operational lifespan. Preserve working capital for day-to-day operations while upgrading infrastructure.
Capital repayment that scales with your monthly revenue. During strong months, you pay more. During slow periods, payments automatically decrease. Removes the fixed-payment pressure that can strain cash flow.
Ideal for businesses with seasonal patterns, high-growth trajectories, or variable revenue cycles. Aligns our interests with yours — we succeed when you succeed.
Growth capital for new locations, acquisitions, market expansion, or strategic initiatives. Designed for businesses with proven operations looking to scale.
We work with you to structure repayment around projected growth timelines, not arbitrary schedules. Patient capital for ambitious operators.
Minimum 6 months of operations. We prefer to work with businesses that have established revenue patterns.
Minimum $25,000/month in gross revenue. Must demonstrate consistent cash flow for past 3 months.
3 months of bank statements, business tax returns (if available), and valid business license.
We review personal and business credit, but strong revenue can offset credit challenges.