Corporate Recovery
Regain Stability, Restore Confidence
Overview: When your business faces operational or financial distress, we mobilize a focused recovery task force. Through rapid situation assessment, stakeholder alignment, and hands-on execution support, we work to restore stability, rebuild confidence, and set the path back to profitability. In times of crisis, decisive action and rigorous implementation of recovery measures are paramount, and our team brings the experience to ensure swift and effective execution.
At a Glance:
- Engagements structured for speed and impact, typically 3–9 months.
- Focus on immediate liquidity relief, often seeing positive cash flow shifts within 60 days through decisive implementation of financial restructuring.
- Cross-industry experience: Manufacturing, Retail, Logistics, Hospitality & more.
Our 5-Step Recovery Framework:
- Rapid Diagnostic (0–30 Days): Emergency financial health scan, risk-factor mapping, and cash-flow triage.
- Stakeholder Alignment (30–60 Days): Creditor negotiations, investor discussions, and government liaison (if required), requiring skillful execution of communication and negotiation strategies.
- Turnaround Plan (60–90 Days): Cost rationalization, asset optimization, and operational rightsizing, demanding firm management commitment to implement necessary changes.
- Execution & Restructuring (90–180 Days): Interim management support, process re-engineering, and working-capital fixes, with a strong emphasis on hands-on implementation.
- Stabilization & Monitoring (180+ Days): Recovery KPIs, governance frameworks, and long-term contingency planning to ensure sustained recovery.
This structure directly addresses your concerns:
- Avoids “One-Man-Show”: The company is front and center on the Home and main About Us pages. Your detailed profile is on a team page.
- Scalability: The “Our Team” page is designed to easily accommodate new profiles without redoing the main site content.
- Optimal Targeting: All key information for executives, Headhunters, and KPMG is present in the right place.
Key Deliverables & Benefits: Recovery Roadmap, Cash-Flow Optimization, Stakeholder Communication Kit, Interim Leadership Support focused on driving execution.
The Challenge: Vietnam’s rapid growth brings volatility. Currency fluctuations, supply chain disruptions, and regulatory shifts can push even stable businesses into distress, leading to cash flow shortages, creditor pressure, and eroding stakeholder trust. Effective recovery demands not only strategic planning but also swift and resolute execution of often difficult decisions.
How quickly can you improve cash flow?
Most clients see positive liquidity shifts within 45–60 days through aggressive receivables/payables restructuring and swift implementation.
How do you ensure confidentiality?
We employ strict NDAs, encrypted data rooms, and a need-to-know team structure to protect sensitive situations during the often challenging implementation phase.