We prepare your portfolio for regulated EU distribution. This ensures your assets meet the highest market standards, granting you entry into a specialized capital channels are transforming how capital is being raised.

We evaluate volume, credit quality, documentation, and track record. Selective intake protects fund relationships.
SPV formation. Legal documentation. Regulatory registration. Securities that EU funds accept.


Institutional-grade packages. Risk assessment. Cash flow analysis. Fund-ready format.
We present to licensed EU managers in our network and support the approval process.
Funds approve. Retail capital deploys. Your loans get funded.
Servicing coordination. Compliance monitoring. Reporting. The relationship continues.

The Process:
We review your origination profile — loan types, annual volume, credit quality, documentation standards. Determine fit with fund partner requirements.
SPV formation, offering documents, regulatory registration. We coordinate with legal partners to create compliant securities.
Compile institutional DD — standardized format, risk rating, cash flow projections, fund-ready documentation.
Present your structured securities to licensed EU fund managers in our network. Support the approval process.
Capital flows when funds accept. Ongoing servicing coordination, reporting, compliance monitoring, and future deal flow.
