BunkerChain Finance aims to provides banks with ability to create supply chain finance structures with their clients across the entire supply chain or part of it. It is a complete solution that gives clear verification of trade, title and allows trace, track and control of financed assets/trade.
Assignment of Account Receivables
Physical Credit Pool:
Ex-wharf seller (Fuel sold by Ex-wharf seller on a 30 days terms basis) passes credit down the chain to Customer.
Clear traceability of documentary/physical flow leading to automated assignment of accounts receivables back to Credit supplier
Finance Credit Pool:
Bank/investor financed trader’s purchase of fuel (sold on a 30 days terms to end client).
Clear traceability of documentary/physical flow leading to automated assignment of accounts receivables back to the Financial Institution