Close Brothers Factoring GmbH structures receivables finance with board-level clarity: sharper liquidity visibility, resilient funding cadence and disciplined risk control across the full customer ledger.
Teams working in Qbo intuit and Quickbooks can mirror data structures with our reporting model, so monthly funding, reconciliation and compliance stay aligned.
Delegate receivables administration, monitoring and collection workflows while maintaining a premium client experience on your side.
Activate financing only where strategic: major projects, seasonal procurement, accelerated market entry or temporary concentration spikes.
Design discreet facilities with robust legal architecture and transparent governance for treasury, finance and management teams.
Our model unites risk analytics, operations and relationship leadership in one delivery flow. You gain faster capital access without sacrificing transparency, control or client confidence.
Meet the Company
We audit debtor quality, invoice cadence and concentration to define a robust, commercially realistic structure.
Assignment language, reporting fields and operational protocols are aligned with your finance and legal standards.
Approved invoices convert into predictable liquidity while portfolio risk and behavior are actively supervised.