Assisting in the day-to-day management of corporate turnaround, operational restructuring, and performance improvement projects. This includes liquidity management, financing, capital structure optimization, and cost reduction initiatives.
Contributing to the design and implementation of cash flow forecasting models to support effective financial management.
Leading the preparation of business plans, financial information packages, and management presentations to support strategic decision-making.
Analyzing financial statements and operational data to enhance client liquidity, optimize credit availability, improve operational efficiency, and maximize shareholder returns.
Utilizing financial and operational expertise to assess crisis situations, support business stabilization, and drive operational restructuring efforts, including cost optimization and process improvement.
Assisting clients in identifying value creation and performance improvement opportunities within their organizations and developing actionable strategies to achieve operational excellence.
Participating in a variety of advisory projects, including operational restructuring, with regular interactions with clients, banks, private credit funds, legal advisors, and other stakeholders.
Proactively seeking challenges and opportunities to enhance individual and team strengths, expand skill sets, and foster a collaborative learning environment.
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