We assist clients in structuring and executing both standardized and bespoke securitization transactions across a wide range of underlying assets. Our practice covers accounts receivable, lease income, distressed assets, infrastructure revenue rights, and real estate investment trusts (REITs), across interbank, exchange, and private markets. We combine deep legal insight with commercial pragmatism to help clients meet regulatory requirements, optimize structure, and control transaction risks.
Our Services:
Asset Screening and Legal Feasibility Assessment
We help clients identify securitizable assets and provide legal opinions on asset attributes, ownership status, transferability, and overall legal feasibility.
Transaction Structuring and Legal Analysis
We design securitization and structured finance schemes that balance regulatory compliance and commercial goals, clarify roles and risk segregation, and support cash flow modeling and legal defensibility.
Drafting and Reviewing Transaction Documents
We prepare and review core documents—including asset transfer agreements, trust deeds, servicing agreements, credit enhancement contracts, guarantee arrangements, custody agreements, and subscription agreements—to ensure structural integrity and legal enforceability.
Establishment of SPVs and Issuance Vehicles
We assist in setting up special purpose vehicles (SPVs), trust schemes, or asset-backed issuance plans, and handle all related filings, registrations, and legal formalities.
Legal Due Diligence and Reporting
We conduct legal due diligence on transaction parties and underlying assets, verify contract validity and enforceability, and issue diligence reports identifying legal risks and mitigation paths.
Issuance Opinions
We provide formal legal opinions on key aspects such as asset title, transaction structure, regulatory compliance, document validity, and tax implications.
Regulatory Communication and Compliance Support
We advise on regulatory filings, offering registration, and issuance approvals, and assist in responding to inquiries from exchanges, self-regulatory organizations, and government agencies.
Tax, Accounting, and FX Structuring Support
We offer structuring advice on tax, accounting, and foreign exchange elements of the transaction to help clients optimize efficiency, compliance, and cost control.
Disclosure and Credit Rating Support
We assist in preparing disclosure materials and supporting credit rating agencies during due diligence, review, and rating issuance processes.
Ongoing Legal Services for Product Lifecycle
We provide continuous legal support throughout the life of the issued product, including asset substitutions, cash flow modifications, liquidity management, investor communications, and disclosures.
Support for Innovative and Specialized Projects
We offer tailored legal solutions for novel structures such as NPL securitizations, future receivables, tail payments from real estate sales, tuition fee-backed assets, and public REITs.