Corporate finance advice for UK businesses that need funding structures, treasury discipline, and trade-finance instruments to work together.
Mckesson Finance UK provides financial advisory for corporates, trading houses, and principals who face complex funding choices—not just a single facility or instrument in isolation.
We help leadership teams assess facilities, covenants, and balance-sheet options; prepare for transactions; and align bank guarantees, proof of funds, and project finance within one coherent plan.
Whether you are refinancing, restructuring, or positioning for a major contract or acquisition, our advisers bring trade-finance experience and straightforward communication from first conversation through completion.
Our focus
To give boards and owners clear, actionable advice—so funding, treasury, and instrument decisions support the deal or mandate you are pursuing.
How we add value
By connecting corporate finance thinking with deep knowledge of guarantees, SBLCs, and proof-of-funds—avoiding siloed advice that leaves gaps in your structure.
50+
Years combined experience
Our advisory team draws on decades across corporate finance, trade finance, and structured mandates.
6+
Core capability areas
From treasury and facilities to M&A support, restructuring, and guarantee alignment.
UK &
International mandates
We advise clients on domestic and cross-border structures where counterparties and lenders demand certainty.
Financial advisory at Mckesson is built for clients who need more than a one-off product. We take time to understand your contract pipeline, treasury position, and lender or investor expectations—then recommend structures and instruments that work together.
Practical corporate finance support across treasury, transactions, restructuring, and trade-finance alignment.
We help you define treasury priorities, manage liquidity buffers, and plan funding so day-to-day operations and larger mandates are both supported.
From term sheets to ongoing compliance, we advise on facility sizing, covenant headroom, and lender dialogue.
We support due diligence narratives, funding proofs, and stakeholder materials so counterparties see a clear financial story.
We help boards evaluate refinancing, amendments, and balance-sheet changes with a practical view of market acceptance.
We ensure bank guarantees, SBLCs, and proof-of-funds sit within your wider funding plan.
We assist with memoranda, source-of-funds explanations, and mandate summaries under tight timelines.
A structured path from first enquiry to completion.
01
We review your objectives, existing facilities, contract pipeline, and any instrument or proof-of-funds requirements.
02
We outline options—funding, treasury, guarantees, and transaction support—with clear trade-offs and recommended next steps.
03
We coordinate documentation, lender or issuer introductions, and timelines so mandates stay on track.
04
We remain available for amendments, renewals, and follow-on advice as deals evolve or new contracts arise.
Financial advisory often works alongside our core trade-finance and funding offerings.
Contract and tender security—performance, advance payment, and bid bonds backed by bank undertakings.
Structured confirmation of available capital for lenders, sellers, and transaction counterparties.
Bank undertakings for import, export, and contract payment security aligned to international practice.
Structured funding for capex and developments—debt and equity coordination, lender introductions, and milestone drawdowns.
Discretionary and pooled mandates managed with defined objectives and reporting.