Manage the cash needs related to your operating cycle
You need to finance an operating cycle? You must finance your stocks or handle cash delays? We have the perfect solution.
We help you to manage the treasury needs related to your operating cycle.
- Usage depends on your needs;
- Easy and quick set-up with no contract attached;
- An advantageous pricing: the debit interests are calculated on the drawings;
- You can link it to a stock guarantee (case-by-case).