Our experts have a longstanding track record in corporate restructuring and recovery. Collegium, together with management, can develop new strategies and launch operational restructuring plans.
In times when “cash is king” we can help to implement robust cash management, generate cash generating measures and implement a 13 months rolling cash forecasting system.
As part of a financial restructuring Collegium can support in the divestment of non-core or underperforming activities or assets and in developing a solid plan to (re) finance your operation.
In case of restructuring and (threatening) discontinuity we can support management or receivers by providing independent valuations and second opinions to comply with governance and regulations.Contact us