Throughout complex financial reorganizations, SCP delivers the trusted advice, meaningful insights and stable leadership necessary to get to the right decision. SCP combines its deep financial expertise and extensive understanding of the restructuring process to solve the most challenging situations a company may face.

Activities performed with management on a day-to-day basis include:

  • Develop a detailed cash model to accurately forecast liquidity
  • Activity manage cash flow to optimize expenditures and cash collections procedures
  • Re-establish credibility and communication between the company and its key stakeholders
  • Propose and review reorganization plans that are in line with company and stakeholder goals, and are consistent with projected cash flow
  • Establish valuation criteria, ratio analyses and other metrics for capital structures with various forms of capital
  • Determine assets and business valuation
  • Assess existing financial reporting methodologies and propose improvements