Our Approach
Assessment
Our team of financial and operational experts swiftly conduct comprehensive reviews and analyses to mitigate impending risks and control damages.
Conserve cash, Preserve assets, and Regain stability
Maintain critical management, employee and vendor relationships
Clearly communicate with lenders, regulatory bodies and stakeholders
Evaluate liquidity by developing 13-week cash flow statements
Establish management and financial reporting procedures
Restoration
We work collaboratively with executive and operating management to chart a course through turbulent times by developing and implementing transformative business plans and growth strategies.
Assess balance sheet and operational restructuring opportunities
Investigate and find alternative financing opportunities
Develop asset sales and business divestiture strategies
Reignite
We develop ideas and explore realistic possibilities to implement solutions that will drive revenue while improving systems and controls to ensure stability for the long term.
Develop core asset and business maximization strategies
Explore growth opportunities
Foster strategic partnerships
Increase revenue and margins
Streamline operating costs
Re-establish processes, procedures, and communications