Assess and analyze market conditions including economic, political industry trends, and forecasts.
Review and develop financial projections, assumptions, valuation and sensitivity analysis and facilitate fundraising efforts. Business Plans and investment management.
Develop comprehensive risk analysis and strategize mitigation and risk management incl. investment risk, business risk, distressed situations & litigation.
Review and develop an effective operations & management strategy that optimizes returns by managing costs & revenue generation. Develop and enforce corporate turnaround strategies and litigation strategies.
We conduct a full business assessment from the state of your business before the pandemic to the current state and identify what aspects have been most impacted and what aspects of the business will require permanent changes or revisions.
We review or help develop reopening strategies with the focus of optimizing business operations, employee & customer safety measures, risk mitigation, and financial optimization.
We review the state of your business financially before and throughout the pandemic, and help optimize financial strategies including but not limited to bootstrapping, debt restructuring, fundraising, and cost & revenue management.
We assess not only how the pandemic impacted your business, but how it impacted your industry, what changes have occurred or may occur in the future and how your business can adjust to the "New Normal" in your specific sector.