ECB.BASE4.25↑ 0.05
EURIBOR.3M3.82↓ 0.03
SONIA5.19↑ 0.02
FACT.IDX142.6↑ 1.4
LEASE.AVG6.85↑ 0.11
TF.VOL€42.1B↑ 2.9%
BOND.10Y2.48↓ 0.04
SME.CONF106.4↑ 0.8
ECB.BASE4.25↑ 0.05
EURIBOR.3M3.82↓ 0.03
SONIA5.19↑ 0.02
FACT.IDX142.6↑ 1.4
LEASE.AVG6.85↑ 0.11
TF.VOL€42.1B↑ 2.9%
BOND.10Y2.48↓ 0.04
SME.CONF106.4↑ 0.8
R Est. 2001 · v6.2 · live rates

The capital layer for growing businesses.

KR Leasing GmbH structures leasing, factoring and asset-based finance for SMEs and mid-market operators. Underwriting decisions in days, drawdowns in weeks, and a relationship team that answers the phone.

€ 4.2BPlaced
1,800+Clients
22Countries
96%Renewal
Live rate desk
LIVE
Equipment Leasing36–60mo / fixed
5.90%
Invoice FactoringRecourse / 30–90d
1.40%
Asset-Based LendingRevolving
6.40%
Trade FinanceL/C per shipment
2.10%
Sale & Leaseback5–7yr
7.20%
Indicative — subject to underwriting ◉ live
Regulated · Audited · Certified
BaFin (Bundesanstalt für Finanzdienstleistungsaufsicht)
ISO 27001
Big-Four audit
24-hr SLA
22 jurisdictions
Solutions

A modular capital stack for operating businesses.

Six flagship facilities that can be structured independently or bundled into a single package. Every mandate is priced on the strength of the underlying asset, contract or cash-flow.

Flagship

Equipment & Vehicle Leasing

Structured operating and finance leases for plant, machinery, commercial vehicles and specialist equipment. Terms from 24 to 84 months with residual-value optimisation and pass-through maintenance.

  • Ticket size € 25k – € 15M
  • Full-pay-out or balloon structures
  • Sale-and-leaseback on owned assets
  • End-of-term buy, extend or refresh
From 5.90% p.a.

Invoice Factoring

Convert receivables to cash in 24 hours. Recourse, non-recourse and confidential variants for domestic and export ledgers.

From1.40% / invoice

Asset-Based Lending

Revolving credit facilities secured against inventory, plant and receivables.

From6.40% p.a.

Working Capital Lines

Committed and uncommitted lines to smooth payables, VAT cycles and short-term inventory build.

Commit12 months

Trade & Supply-Chain

Import/export L/Cs, supplier-side dynamic discounting, reverse factoring programmes.

From2.10% / ship.

Sale & Leaseback

Unlock equity in owned real estate or plant while retaining operational control. Structured tax-efficiently and off-balance-sheet where permitted.

Term5–7 years
How it works

Four steps from enquiry to drawdown.

We move at the pace of your business. Most facilities are structured, credit-approved and drawn within three weeks of first contact.

STEP / 01

Discovery call

A 30-minute conversation to understand your operation, the asset or receivables in scope, and your target structure.

Day 1
STEP / 02

Indicative terms

Written indicative pricing, tenor and covenants — non-binding, with a clear list of what our credit committee will need.

Day 2–4
STEP / 03

Underwriting

Dedicated analyst runs KYC, financial review and asset appraisal in parallel. Credit committee sits weekly.

Day 5–12
STEP / 04

Docs & drawdown

Facility documented against our master agreement. First advance released the same day signatures land.

Day 13–21
Rate Desk

Transparent pricing, updated daily.

Indicative pricing for our standard facilities. Actual quotes are personalised — enter your requirement and our desk will come back within one business day.

Facility estimator

A quick illustrative calculation — no credit search runs.

Est. monthly€ 7,842/mo
Equipment Lease36–60mo
5.90% p.a.
New assets, full-payout, residual-value optimised.
FactoringRecourse
1.40% inv
Domestic ledger, 30–90 day terms.
ABLRevolving
6.40% p.a.
Inventory & receivables collateral.
Working Capital12mo
7.10% p.a.
Committed line, draw & repay on demand.
Trade FinanceL/C
2.10% ship
Documentary L/C for cross-border trade.
Leaseback5–7yr
7.20% p.a.
Real estate & specialist plant.

// Rates are indicative annualised percentages, expressed net of arrangement fees. Final pricing depends on credit assessment, asset class, tenor and covenant package. Regulated by BaFin (Bundesanstalt für Finanzdienstleistungsaufsicht) under registration BaFin-ID: 10121949  Bak Nr.: 121949 .

Sectors

Deep expertise in the industries that build and move the economy.

Our underwriting benches are staffed by former operators — people who understand the working-capital rhythm of your business before we discuss a rate.

Manufacturing

Plant, machinery, tooling and production-line finance for discrete and process manufacturers.

€ 1.4B placed
Logistics & Transport

Fleet leasing, trailers, cold-chain and warehouse handling assets across cross-border operators.

€ 890M placed
Construction

Excavators, cranes, formwork and site-vehicle finance — with seasonal repayment holidays available.

€ 720M placed
Healthcare

Imaging, diagnostics, dental and lab equipment leasing for private clinics and specialist providers.

€ 410M placed
Technology & SaaS

Hardware refresh cycles, data-centre kit, and ARR-based facilities for subscription businesses.

€ 380M placed
Wholesale & Retail

Inventory financing, seasonal factoring lines and supplier-side reverse-factoring programmes.

€ 400M placed
"
The team at KR Leasing GmbH structured a € 3.2M sale-and-leaseback in less time than our bank took to acknowledge the enquiry. They understood the residual value of specialist plant better than we did.
M
Group Finance Director
MID-MARKET MANUFACTURING · Deutschland
FAQ

Questions we're asked most often.

Straight answers on structure, timing, cost and eligibility. Something not covered? Our advisors are one message away.

What is the minimum facility size?

Our standard entry point is € 25,000 for equipment leasing and € 100,000 for factoring lines. Below that, our partner network offers straight-through digital products which we can refer you to.

How is pricing determined?

Every facility is priced individually against reference rates (EURIBOR / SONIA / base), the asset or receivable's risk profile, tenor, ticket size and any credit enhancement. We publish indicative ranges — actual quotes typically fall within them once underwriting is complete.

Do you fund start-ups?

We focus on operating businesses with at least 24 months of trading history. For younger companies we can consider factoring against contracted receivables from investment-grade counterparties.

Which jurisdictions do you cover?

KR Leasing GmbH operates across 22 European jurisdictions. Cross-border facilities are documented under our master framework in English, with local legal opinions where required.

What documentation will I need?

Typically two years of audited accounts, latest management accounts, aged debtor and creditor listings, and — for asset finance — an invoice or specification for the equipment. Your relationship manager will send a tailored list after the first call.

Is my facility off-balance-sheet?

Operating leases and non-recourse factoring can be structured off-balance-sheet under most reporting frameworks. Under IFRS 16 most leases now sit on-balance-sheet — we'll walk you through the treatment before signing.

Contact

Speak to a real underwriter.

Tell us what you're looking to finance and one of our sector specialists will call you back within one working day.

Head office & correspondence

Registered office
Gewerbering 8a82544 Egling, Bavaria · Deutschland
Direct desk
+49 711 222985-0Mon–Fri, 08:00 – 18:00 CET
Underwriting desk
contact@kr-leasing.it.comResponse within 1 business day
Regulatory
BaFin (Bundesanstalt für Finanzdienstleistungsaufsicht)Reg. no. BaFin-ID: 10121949  Bak Nr.: 121949  · VAT DE231682767

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