- Providing strategies and solutions to overcome trading or cash flow difficulties.
- Assisting with contractual problems, claim submissions, negotiations and realising problem debts.
- Producing or reviewing contract forecasts of profitability and cashflow.
- Analysis of trading activities and the risks relevant to contractual operations / assets.
- Meaningful analysis of debtors, debtor procedures and disputes.
- Review of future turnover, profitability and risk.
- Review of management and systems along with advised improvements.
- Providing strategies and solutions to assist restructure, sale or wind down.
- Reviewing existing Performance Bonds and advising on future arrangements.