Advisory & Transformation
Rapid Liquidity Stabilisation, Cash Governance, and Operational Recovery.
Managing Partners and in-seat COOs in seat in Week 1 to stabilise distressed assets, protect covenants, and recover working capital.
Capabilities
Core modules
- 13-week cash-flow forecasting and tactical working capital release (AP / AR / inventory).
- Unprofitable product-line and facility rationalisation and footprint closure.
- Critical creditor, supplier, and customer relationship stabilisation.
Keep reading
Diagnostics & leadership
Move now
Request a rapid intervention.
A direct partner line for distressed and time-critical situations.
