Corporate Finance & Transactions
Restructuring
Stabilize liquidity, protect value, and reset the cost base to emerge stronger.
Expected impact
stabilized
Cash runway
-10–25%
SG&A
We implement 13-week cash flow, vendor negotiations, SG&A programs, and turnaround PMO with clear milestones and reporting.
How we approach it
Cash controls
Implement 13-week cash flow and spending governance.
Cost program design
Structure SG&A reductions with owner-led workstreams.
Stakeholder plan
Engage lenders, vendors, and employees with clarity.
Turnaround PMO
Track milestones, benefits, and risks transparently.
Key benefits
- Liquidity protection
- Cost reset
- Stakeholder confidence
Methodologies and tools
Related insights
Where to from here?
Two ways to start a conversation
Self-diagnose your operation in 5 minutes, or talk directly with a partner.