Experience the power of comprehensive banking solutions.
ORALEX delivers premier investment banking services with unmatched reliability, transparency, and expertise. We offer comprehensive financial solutions tailored specifically to your needs across various sectors, including private equity, and fund management. Our suite of customized solutions includes:
Capital Raising & Advisory | Family Office Advisory | Mergers & Acquisitions | Securitization and Structured Finance Debt and Equity Financing | Asset Management and Fund Structuring | Financial Planning Advisory Services Currency Exchange | International Trade Finance | Cross Border Payments | Investor Relations
Tailored Securitization Solutions
We specialize in Web3 and Tokenization solutions, using advanced methods to structure Real World Assets (RWAs) on the blockchain—improving liquidity, transparency, and investment access.
Structured Financing Solutions
Tailored arrangements designed to efficiently raise capital, manage risk, and optimize returns through special purpose entities, asset securitization, and strategic investor placement. Ideal for finance, real estate, and infrastructure sectors.
ESG Advisory Services
Evaluate and enhance your company's Environmental, Social, and Governance performance—strengthening sustainability, reputation, and long-term financial success.
Global Banking Solutions
Enable institutions and companies to handle international transactions, investments, and risks, while offering private and corporate bank accounts, payment processing, foreign exchange, and trade finance. These services support cross-border investment management and financial operations.
Brand Awareness Solutions
Boost your visibility and strengthen credibility in financial markets through targeted messaging, strategic positioning, and expert-driven thought leadership initiatives.
ORALEX acts as the Arranger, expertly structuring and coordinating debt arrangements
tailored to your specific funding needs.
As an Arranger, we specialize in efficiently structuring and coordinating bond issuances with issuers, investors, and stakeholders.
Establish a SPV in a tax-efficient jurisdiction, ensuring optimal legal structure and regulatory compliance.
Coordinate all required registrations and filings, leveraging placement agents to secure investor commitments.
Appoint and oversee paying agents, custodians, and related service providers to guarantee seamless transaction execution and ongoing administration.
Unlock working capital by leveraging your company’s assets for flexible, growth-oriented financing.
Finance receivables, inventory, equipment, and other collateral to support ongoing operations, seasonal fluctuations, and strategic expansion.
Tailored credit lines and loan structures adjust with asset values, providing borrowers with scalable liquidity as their balance sheet grows.
Competitive pricing and covenant frameworks that focus on asset quality—offering greater transparency and alignment between lender and borrower.
Expert underwriting and audits provide accurate valuations and smooth drawdowns, boosting efficiency and reducing admin burdens.
Access cash liquidity by pledging publicly traded equity holdings as collateral
Borrow against your portfolio at competitive rates without liquidating positions, allowing you to maintain upside exposure to market gains.
Flexible loan-to-value ratios (30%–70%) let you align leverage with your investment strategy and risk profile.
Customizable draw periods and interest-only repayments offer flexibility for short-term financing, tax planning, or seizing investment opportunities.
Dedicated underwriting and monitoring ensure clear margin management, prompt alerts, and efficient recall or repayment.
Securities are only sold if margin limits are breached, protecting long-term goals while meeting short-term capital needs.
Provide bank-backed assurance for payment or performance, strengthening contractual trust.
Provides credit enhancement by guaranteeing payment if obligations aren’t met. Commonly used in trade, project finance, and major procurements.
The issuing bank guarantees payment on compliant SBLC claims, lowering credit risk for counterparties.
Customizable terms and coverage support various needs, from short-term guarantees to long-term cross-border transactions.
Fees are based on credit profile, facility size, and tenor, providing a cost-effective alternative to cash collateral.
Ongoing monitoring and clear claim procedures ensure timely renewals and preserve liquidity for all parties.
Bridge financing supports development, renovations, and rehabs with milestone-based disbursements.
Offers short-term capital for land, site work, and construction, with draws tied to project milestones.
Use flexible draws tied to inspections or cost reports, releasing funds after milestone verification.
Interest-only payments during construction ease cash flow; principal is repaid after project completion or financing conversion.
Underwriting uses detailed budgets and projected values to set LTC or LTV ratios based on project risk and market conditions.
Ongoing oversight with inspections and reserves mitigates cost overruns, delays, and quality issues, protecting lender and borrower.
ORALEX acts as the Arranger, expertly structuring and coordinating debt arrangements
tailored to your specific funding needs.
As an Arranger, we specialize in efficiently structuring and coordinating bond issuances with issuers, investors, and stakeholders.
Establish a SPV in a tax-efficient jurisdiction, ensuring optimal legal structure and regulatory compliance.
Coordinate all required registrations and filings, leveraging placement agents to secure investor commitments.
Appoint and oversee paying agents, custodians, and related service providers to guarantee seamless transaction execution and ongoing administration.
Unlock working capital by leveraging your company’s assets for flexible, growth-oriented financing.
Finance receivables, inventory, equipment, and other collateral to support ongoing operations, seasonal fluctuations, and strategic expansion.
Tailored credit lines and loan structures adjust with asset values, providing borrowers with scalable liquidity as their balance sheet grows.
Competitive pricing and covenant frameworks that focus on asset quality—offering greater transparency and alignment between lender and borrower.
Expert underwriting and audits provide accurate valuations and smooth drawdowns, boosting efficiency and reducing admin burdens.
Access cash liquidity by pledging publicly traded equity holdings as collateral
Borrow against your portfolio at competitive rates without liquidating positions, allowing you to maintain upside exposure to market gains.
Flexible loan-to-value ratios (30%–70%) let you align leverage with your investment strategy and risk profile.
Customizable draw periods and interest-only repayments offer flexibility for short-term financing, tax planning, or seizing investment opportunities.
Dedicated underwriting and monitoring ensure clear margin management, prompt alerts, and efficient recall or repayment.
Securities are only sold if margin limits are breached, protecting long-term goals while meeting short-term capital needs.
Provide bank-backed assurance for payment or performance, strengthening contractual trust.
Provides credit enhancement by guaranteeing payment if obligations aren’t met. Commonly used in trade, project finance, and major procurements.
The issuing bank guarantees payment on compliant SBLC claims, lowering credit risk for counterparties.
Customizable terms and coverage support various needs, from short-term guarantees to long-term cross-border transactions.
Fees are based on credit profile, facility size, and tenor, providing a cost-effective alternative to cash collateral.
Ongoing monitoring and clear claim procedures ensure timely renewals and preserve liquidity for all parties.
Bridge financing supports development, renovations, and rehabs with milestone-based disbursements.
Offers short-term capital for land, site work, and construction, with draws tied to project milestones.
Use flexible draws tied to inspections or cost reports, releasing funds after milestone verification.
Interest-only payments during construction ease cash flow; principal is repaid after project completion or financing conversion.
Underwriting uses detailed budgets and projected values to set LTC or LTV ratios based on project risk and market conditions.
Ongoing oversight with inspections and reserves mitigates cost overruns, delays, and quality issues, protecting lender and borrower.
ORALEX platform connects you with a global network of investors and project developers, helping you access, fund, and manage projects effectively.
Expand international presence and drive growth:
Targeted Digital Campaigns: Localize ads and content for key markets to reach relevant audiences.
PR and Media Outreach: Secure features in industry publications and top-tier outlets for credibility.
Influencer Partnerships: Collaborate with regional influencers to generate authentic endorsements.
Expand international presence and drive growth:
Global Events & Conferences: Present at trade shows and host webinars to showcase expertise.
Localized Content Strategy: Translate website, blog posts, and social media into priority languages.
Performance Tracking: Monitor engagement metrics and adjust tactics based on regional feedback.
Practical ways to maintain market confidence while staying compliant.
Stock price maintenance involves working with market makers for orderly trading and ensuring buybacks follow SEC Rule 10b-18.
Providing market liquidity by using market makers to narrow spreads and share-lending to support hedging without insider trades.
Supporting stock prices through board-approved buybacks and strategic use of dividends to signal financial strength.
Build investor trust and interest through clear communication and strategic outreach.
Effective investor communication includes timely SEC filings, updated IR materials, earnings calls, and roadshows.
Share repurchases are managed via a Rule 10b-18-compliant plan using third-party brokers to avoid insider trading.
Increasing stock awareness and demand through event participation and digital distribution of accurate investor materials.
Secure funding and handle filings.
Registered Offerings: Prepare and file S-1, F-1, 20-F, Form 10 to meet SEC standards and enable smooth public listings.
Private Placements: Structure compliant deals (Reg D, Reg CF, Reg A+) with subscription documents, coordinate due diligence, and oversee closings.
Reverse Mergers: Guide issuers through Form 211 applications, secure market maker sponsorship, and manage FINRA/SEC reviews for OTC market transition.
Find investors and structure deals.
Conduct targeted investor outreach to angel networks, VCs, and private equity to find ideal partners.
Develop pitch decks, financial models, and investor memos that showcase value, market, and growth strategy.
Structure equity rounds, convertible notes, SAFEs, or debt tailored to stage, sector, and investor preferences.
Provide ongoing strategic advice on cap table management, valuation negotiations, and shareholder communications.
Facilitate compliant listing and ongoing reporting for securities traded on Over-the-Counter markets.
Prepare and submit Form 211 applications with all required documents to meet FINRA and SEC OTC quoting standards.
Coordinate with broker-dealers to secure market maker sponsorship, manage reviews, and resolve regulatory issues.
Prepare and file disclosure documents, monitor events, and ensure compliance with OTC Pink, OTCQB, or OTCQX standards.
Advise on SEC reporting to ease the transition from private to OTC trading, including Section 15(d) and confidential filings.
Establish procedures for periodic audits, corporate governance updates, and transfer agent coordination to uphold transparency and facilitate liquidity for investors.
Efficiently connect issuers with qualified institutional and accredited investors to maximize fundraising success.
Create and implement targeted marketing to attract quality investors and boost deal visibility.
Perform market and investor due diligence, prepare offering materials, and manage roadshows for transparency and engagement.
Advise on pricing, structure, and terms using market data to optimize valuation and align investors.
Coordinate with legal, accounting, and compliance to prepare offering documents, manage filings, and ensure regulatory compliance.
Manage orders, allocate securities, and support investors post-placement to maintain market confidence.
Guide strategic deals from target selection to integration to maximize shareholder value.
Identify and evaluate target companies or strategic buyers, leveraging industry analysis and financial modeling to pinpoint optimal M&A opportunities.
Conduct comprehensive due diligence—financial, operational, legal, and tax—to uncover risks, validate synergies, and establish a clear value proposition.
Advise on valuation, deal structure, and financing to align terms with market conditions and client goals.
Negotiate transaction documents with advisors to secure approvals, address antitrust issues, and ensure legal compliance.
Support post-merger integration with alignment, synergy capture, and performance tracking to achieve savings and growth.
Practical ways to maintain market confidence while staying compliant.
Stock price maintenance involves working with market makers for orderly trading and ensuring buybacks follow SEC Rule 10b-18.
Providing market liquidity by using market makers to narrow spreads and share-lending to support hedging without insider trades.
Supporting stock prices through board-approved buybacks and strategic use of dividends to signal financial strength.
ORALEX platform connects you with a global network of investors and project developers, helping you access, fund, and manage projects effectively.
Expand international presence and drive growth:
Targeted Digital Campaigns: Localize ads and content for key markets to reach relevant audiences.
PR and Media Outreach: Secure features in industry publications and top-tier outlets for credibility.
Influencer Partnerships: Collaborate with regional influencers to generate authentic endorsements.
Expand international presence and drive growth:
Global Events & Conferences: Present at trade shows and host webinars to showcase expertise.
Localized Content Strategy: Translate website, blog posts, and social media into priority languages.
Performance Tracking: Monitor engagement metrics and adjust tactics based on regional feedback.
Practical ways to maintain market confidence while staying compliant.
Stock price maintenance involves working with market makers for orderly trading and ensuring buybacks follow SEC Rule 10b-18.
Providing market liquidity by using market makers to narrow spreads and share-lending to support hedging without insider trades.
Supporting stock prices through board-approved buybacks and strategic use of dividends to signal financial strength.
Build investor trust and interest through clear communication and strategic outreach.
Effective investor communication includes timely SEC filings, updated IR materials, earnings calls, and roadshows.
Share repurchases are managed via a Rule 10b-18-compliant plan using third-party brokers to avoid insider trading.
Increasing stock awareness and demand through event participation and digital distribution of accurate investor materials.
Secure funding and handle filings.
Registered Offerings: Prepare and file S-1, F-1, 20-F, Form 10 to meet SEC standards and enable smooth public listings.
Private Placements: Structure compliant deals (Reg D, Reg CF, Reg A+) with subscription documents, coordinate due diligence, and oversee closings.
Reverse Mergers: Guide issuers through Form 211 applications, secure market maker sponsorship, and manage FINRA/SEC reviews for OTC market transition.
Find investors and structure deals.
Conduct targeted investor outreach to angel networks, VCs, and private equity to find ideal partners.
Develop pitch decks, financial models, and investor memos that showcase value, market, and growth strategy.
Structure equity rounds, convertible notes, SAFEs, or debt tailored to stage, sector, and investor preferences.
Provide ongoing strategic advice on cap table management, valuation negotiations, and shareholder communications.
Facilitate compliant listing and ongoing reporting for securities traded on Over-the-Counter markets.
Prepare and submit Form 211 applications with all required documents to meet FINRA and SEC OTC quoting standards.
Coordinate with broker-dealers to secure market maker sponsorship, manage reviews, and resolve regulatory issues.
Prepare and file disclosure documents, monitor events, and ensure compliance with OTC Pink, OTCQB, or OTCQX standards.
Advise on SEC reporting to ease the transition from private to OTC trading, including Section 15(d) and confidential filings.
Establish procedures for periodic audits, corporate governance updates, and transfer agent coordination to uphold transparency and facilitate liquidity for investors.
Efficiently connect issuers with qualified institutional and accredited investors to maximize fundraising success.
Create and implement targeted marketing to attract quality investors and boost deal visibility.
Perform market and investor due diligence, prepare offering materials, and manage roadshows for transparency and engagement.
Advise on pricing, structure, and terms using market data to optimize valuation and align investors.
Coordinate with legal, accounting, and compliance to prepare offering documents, manage filings, and ensure regulatory compliance.
Manage orders, allocate securities, and support investors post-placement to maintain market confidence.
Guide strategic deals from target selection to integration to maximize shareholder value.
Identify and evaluate target companies or strategic buyers, leveraging industry analysis and financial modeling to pinpoint optimal M&A opportunities.
Conduct comprehensive due diligence—financial, operational, legal, and tax—to uncover risks, validate synergies, and establish a clear value proposition.
Advise on valuation, deal structure, and financing to align terms with market conditions and client goals.
Negotiate transaction documents with advisors to secure approvals, address antitrust issues, and ensure legal compliance.
Support post-merger integration with alignment, synergy capture, and performance tracking to achieve savings and growth.
Practical ways to maintain market confidence while staying compliant.
Stock price maintenance involves working with market makers for orderly trading and ensuring buybacks follow SEC Rule 10b-18.
Providing market liquidity by using market makers to narrow spreads and share-lending to support hedging without insider trades.
Supporting stock prices through board-approved buybacks and strategic use of dividends to signal financial strength.
*Strictly consulting services. This site provides general information, not investment advice. Consult your own advisors for specific guidance
Hear from our clients who have leveraged ORALEX's expertise and platform to successfully bring their projects to life.
Thanks to ORALEX, we were able to secure the funding we needed for our real estate project. Their expertise in structuring private equity deals was invaluable.
The ORALEX platform provided us with the right tools to attract investors and manage our funds effectively.
ORALEX has formed exclusive partnerships with trusted industry leaders to help clients source and assess high-value investment opportunities.
Through close collaboration, we equipped OneNDone Media with the financial tools they needed to grow strategically and meet the evolving demands of their industry.
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Once we receive your submission, we’ll reach out to align on deliverables, timelines, and budgets—so you can decide if our approach is the right fit for your needs.
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