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.