Team Authentic advises corporates, traders and institutions on offshore account structuring, trade finance instruments and cross-border payment flows — with the documentation discipline that complex and high-risk trades demand.
From opening the right account in the right jurisdiction to structuring the instrument that gets a cargo or contract funded — each service below links to a full breakdown of how it works, who it's for, and what we need from you.
Jurisdiction and institution selection, documentation and onboarding for corporate and personal offshore banking relationships.
Read more → 02 — InstrumentsStructuring, issuance support and negotiation of LCs and related trade finance instruments for import/export transactions.
Read more → 03 — StructuringEntity and holding structure design to support cross-border trading activity, banking access and governance.
Read more → 04 — PaymentsMulti-currency payment routing and settlement support built around your trading counterparties and volumes.
Read more → 05 — B2B FinanceStructuring back-to-back LC arrangements so you can fulfil a sale contract using financing tied to the matching purchase.
Read more → 06 — DiscountingSourcing and structuring standby letter of credit discounting facilities to convert instruments into working capital.
Read more →We advise across the full spectrum of trading activity — including sectors that standard banking relationships often find harder to place. See the full sector breakdown →
Tell us about the trade or account you're working on — we'll tell you what's realistic and what it takes.