Financing of the Operating Cycle
REDUCE THE CASH-FLOW DIFICULITIES WITH THE PRODUCT MOURABAH BFR!
The Mourabaha BFR is a short-term financing product (1-12 months) which allows the customer to finance the needs arising from:
- Preparation of a stock of goods for export
- Purchase and import transactions
- Uneven cash flows « caused by seasonal movements» (massive purchases over a short period of time, sales concentrated over a given period, etc.)
- The awarding of a pledged or irrevocably domiciled contract in favor of the Bank or any other bank as part of a banking pool. This financing is made upon presentation of counting and invoices for materials and supplies.
For further information, please consult one of our account managers in your company agency.