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Crisis Cash Management
KPMG’s Restructuring professionals
can help stabilise cash flow and buying
time for effective negotiation with
stakeholders
We can offer:
- Immediate and near-term
funding requirements analysis
- Development and transfer of robust
cash flow forecasting processes
to management
- Identification of short/ near
term cash generation/ presentation
opportunities
- Advice to management on effective
communications with stakeholders.
For enquires regarding Restructuring or information on a current insolvency assignment, call Nicola Crew on 0207 694 3384 or, please . |
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Latest Restructuring Publications
Project Vale
Case study, Project Vale - Helping a group of banks judge the right moment to exit a struggling clie...
Project Thunderbird
Case study, Project Thunderbird - Aerospace and engineering group: reducing costs to maintain profit...
Project SAN
Case study, Project SAN - Preparing an automotive manufacturer for a country exit.
Project SAP
Case study, Project SAP - Managing a bank group's successful exit from a troubled automotive supplie...
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