نظرة عامة على المنتج
For companies collecting overseas, settling in multiple currencies or converting large amounts. We map the fund flow first — contracting entity, settlement currency, payment cycle and onshore/offshore account structure — and identify where compliance gaps sit.
Collection channels are compared (local receiving accounts, third-party cross-border collection, bank wire) on fee, settlement speed, supported currencies and compliance cost. On FX, we model and advise on forward contracts and option hedges.
Trade background documentation and bank due diligence support are included. The fund-flow structure is reviewed quarterly and adjusted as the business changes.