Complete trade finance instrument coverage.
Pacific Corp facilitates the full spectrum of bank-issued instruments and structured funding solutions. Each transaction is coordinated end-to-end with our licensed banking partners and trade finance houses across major financial centres.

Complete Instrument Offering
Facilitation of primary bank-issued instruments for cross-border trade, project funding and working-capital solutions — coordinated end-to-end with our global banking partners.
Documentary Credits (LC)
Standard Letters of Credit for export and import facilitation across emerging and established markets.
Standby LC (SBLC)
Contingent payment obligations that ensure performance and reliability in complex transactions.
Performance Guarantee
Primary collateral solutions issued via top-tier international banks to secure contractual performance.
Bank Guarantee (BG)
Financial guarantees from licensed banks to mitigate counterparty risk in trade and project contracts.
Project Finance
Custom funding structures for infrastructure, energy, and major industrial developments.
Monetization
Liquidity provision against bank-issued instruments with competitive LTV ratios.
Bank Drafts
Secure, bank-issued payment instruments for domestic and cross-border settlement.
Pre-Advice Messages
Pre-transaction bank-to-bank communications that confirm readiness before formal instrument issuance.
Bank Comfort Letters
Indicative letters confirming a client's banking relationship and capacity to undertake a transaction.
Tender Guarantees
Bid and tender security instruments that support participation in large procurement processes.
Advance Payment Guarantees
Guarantees protecting buyers who make upfront payments against non-performance by the seller.
Proof of Funds (POF)
Verified evidence of capital availability to support due diligence and transaction credibility.
Blocked Funds
Segregated capital arrangements used to demonstrate financial commitment for specific instruments.
Domestic Services
Short-term working capital and asset-backed lending for regional expansion initiatives.
Structured facilities that unlock revenue growth.
Whether the objective is expanding export capacity, participating in larger tenders, or monetising existing instruments for working capital, our facilitation desk structures each transaction to accelerate top-line growth without dilution.

Payment Instruments
Documentary Credit (Letter of Credit / LC)
Irrevocable payment undertakings issued by an issuing bank in favour of a beneficiary against compliant documents. Sight, usance and deferred payment structures under UCP 600, facilitated across import and export corridors in emerging and developed markets.
Standby Letter of Credit (SBLC)
Contingent bank undertakings used as secondary payment or performance security. Issued under ISP98 or UCP 600 by top-tier banks, structured to support trade obligations, credit enhancement, or leased-instrument monetization strategies.
Bank Drafts & MT103 Settlements
Bank-issued negotiable instruments and direct SWIFT MT103 settlement facilitation for high-value cross-border payments requiring assured funds and traceable audit trails.
Guarantees
Bank Guarantee (BG)
Primary and secondary guarantees issued under URDG 758 covering payment, performance and financial obligations. Suitable for trade contracts, supply agreements and credit enhancement.
Performance Guarantee
Contract-linked guarantees protecting the buyer against the seller's failure to perform. Typical amounts of 5–15% of contract value, aligned to project milestones.
Advance Payment Guarantee (APG)
Protects the buyer's advance payment against non-performance by the seller, released against agreed drawdown or milestone completion.
Tender / Bid Bond
Security instrument enabling participation in public and private tenders, confirming the bidder's capacity and commitment.

Pre-Transaction & Comfort
Pre-Advice (MT799 / MT760)
Bank-to-bank pre-advice messaging confirming readiness, willingness and ability to issue the underlying instrument before formal transmission.
Bank Comfort Letter (BCL)
Non-binding indicative letter from the client's bank confirming banking relationship and capacity to undertake a defined transaction.
Proof of Funds (POF)
Verified evidence of capital availability, used for tenders, acquisitions and instrument-issuance due diligence.
Blocked Funds Arrangement
Segregated capital arrangement demonstrating financial commitment and reservation of funds for a specific counterparty or transaction.
Funding & Project Finance
Project Finance
Structured funding for infrastructure, energy, mining, real estate and major industrial developments — coordinating equity, debt, and instrument-backed tranches.
Monetization of Bank Instruments
Liquidity solutions against owned or leased BG / SBLC / MTN instruments at competitive loan-to-value ratios, with clearly defined recourse and drawdown terms.
Domestic Working Capital
Short-term facilities and asset-backed lending for regional trade cycles, receivables financing and expansion programmes.
Have a specific instrument requirement?
Share your deal parameters and our facilitation desk will respond within one business day.