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BloomBridge TradeBloomBridge Trade
Trade Services

The institutional machinery behind the trade.

From instrument issuance to inspection and settlement, BloomBridge operates the controls that let multi-million and multi-billion-dollar commodity transactions close with confidence.

Trade Finance

Instruments that move cargo

We structure and arrange the financial instruments physical trade depends on — working only with vetted, schedule-bank counterparties.

Letters of Credit

Documentary LC issuance, confirmation and negotiation.

SBLC

Standby letters of credit as performance and payment guarantees.

Bank Instruments

BG, MT760/MT700 messaging and instrument monetisation routes.

Escrow

Neutral escrow for funds and documents pending performance.

Paymaster Services

Disbursement of proceeds per agreed commission schedule.

Commission Waterfalls

Transparent, pre-agreed distribution of net margin.

KYC & Verification

No deal moves before the parties are real

Every counterparty is verified before engagement. Mandates are confirmed to source; sanctions and adverse-media screening run continuously.

Supplier Verification

Producer existence, capacity and title confirmation.

Buyer Verification

Proof of funds, banking and end-user validation.

Mandate Verification

Authority-to-act confirmed to the principal.

Sanctions Screening

OFAC / EU / UN list and adverse-media checks.

Inspection & Logistics

Independent eyes on every cargo

Quantity and quality are determined by independent inspectors; logistics are coordinated end to end across sea, rail and road.

Inspection Services

SGS / Cotecna / assay at load and discharge.

Logistics Coordination

Charter, stowage, lashing and multimodal carriage.

Cold-Chain Custody

Temperature-logged reefer movement for protein and perishables.

Documentary Control

Bills of lading, certificates and title under custody.

Commission Waterfalls

Every party sees the split before signature

BloomBridge structures transparent commission waterfalls. Gross contract value cascades through cost, finance and inspection to a defined net margin — then distributes on a pre-agreed schedule.

0255075100100%Gross Contract−72%Product Cost−8%Logistics & Freig…−4.5%Finance & Instrum…−2%Inspection & Comp…13.5%Net Trade Margin
Net margin distributionIndicative split
Mandate (Buy-side)30%
Mandate (Sell-side)30%
Facilitators25%
BloomBridge Desk15%
Trade Lifecycle

Six controlled phases, one audit trail

From onboarding to settlement, each phase is gated by verification and documented to an immutable record.

  1. 01 · Verification

    Onboarding & KYC

    Counterparty identity, mandate authority and sanctions screening completed before engagement.

  2. 02 · Representation

    Soft Offer & Terms

    Indicative specifications, capacity and pricing issued against verified inventory.

  3. 03 · Trade Finance

    Instrument & Finance

    LC / SBLC structured; escrow and paymaster arrangements confirmed with banks.

  4. 04 · Assurance

    Inspection & Anchoring

    Independent inspection (SGS/assay); documents hashed and anchored to FloraChain.

  5. 05 · Facilitation

    Logistics & Carriage

    Charter, stowage and cold-chain coordinated; title documents move under custody.

  6. 06 · Settlement

    Settlement & Audit

    Payment released against documents; immutable audit trail closes the transaction.