restructuring

Analyze financial distress through triage, cash flow modeling, and viability assessment.

3|Updated Mar 1, 2026
One-click install
npx skills add https://github.com/Kaakati/managing-director --skill restructuring
Or copy as Structured Prompt for Agent
Please help me install this Agent Skill.
Skill: restructuring
Source: https://github.com/Kaakati/managing-director/tree/main/.claude/skills/restructuring
Command: npx skills add https://github.com/Kaakati/managing-director --skill restructuring

SYSTEM DOCUMENTATION & REQUIREMENTS

💡 This Skill includes scripts (resource) and references (resource) components.

What problem does it solve?

This Skill provides a structured framework for analyzing and executing corporate restructuring and turnaround strategies, helping businesses facing financial distress to stabilize operations and negotiate with stakeholders.

Core Features & Use Cases

  • Triage Assessment: Quickly gauges the severity of a company's distress.
  • 13-Week Cash Flow Modeling: Creates a detailed, weekly cash forecast essential for liquidity management.
  • Stakeholder Mapping & Negotiation: Identifies key players and outlines negotiation strategies.
  • Viability & Liquidation Analysis: Determines if a business can be saved as a going concern or if liquidation is the best path.
  • Operational Quick-Wins: Identifies immediate actions to preserve cash and improve performance.
  • Use Case: A company is facing a liquidity crisis with upcoming debt maturities. This Skill can be used to assess its financial health, model cash needs, identify restructuring options, and develop a plan to negotiate with lenders.

Quick Start

Use the restructuring skill to analyze the financial distress of 'Acme Corp' and recommend a turnaround strategy.

Frequently Asked Questions about restructuring

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I assess financial distress and determine if a company needs restructuring?

Financial distress assessment requires a structured triage process to gauge severity. You analyze liquidity crises, stakeholder positions, and viability to determine if turnaround is feasible or if liquidation is necessary.

What is a 13-week cash flow model and when do I need one for liquidity management?

A 13-week cash flow model is a detailed weekly cash forecast essential for liquidity management during a crisis. You need it to project cash needs, identify shortfalls, and negotiate with creditors.

How do I identify operational quick-wins during a corporate turnaround?

Operational quick-wins are identified by analyzing current operations to find immediate actions that preserve cash and improve performance. This framework pinpoints areas to stabilize the business rapidly.

What is the best way to evaluate going concern viability versus liquidation for a distressed business?

Evaluating going concern viability versus liquidation requires comparing turnaround potential against liquidation values. This framework analyzes operational quick-wins and stakeholder support to determine the best path.

Can this restructuring framework handle complex liquidity crises with upcoming debt maturities?

This restructuring framework handles complex liquidity crises by modeling cash needs, identifying options, and developing plans to negotiate with lenders facing upcoming debt maturities.