Corporate debt restructuring
Thirteen-week liquidity modelling, lender negotiation strategy, standstill and rescheduling documentation, and a credible forward plan.
Advisory and execution across restructuring, funding, distressed assets, compliance set-up and operations.
Thirteen-week liquidity modelling, lender negotiation strategy, standstill and rescheduling documentation, and a credible forward plan.
Preparation of bankable files, lender selection across the UAE and GCC, and structuring of secured and unsecured facilities.
Bonds, MTN and ETN programmes, securitisation vehicles, tokenisation and listing preparation with agents and documentation.
Acquisition, valuation and workout of stressed assets and non-performing loans from banks and financial institutions.
Screening, due diligence and structuring of industry-agnostic middle-market opportunities with clear exit routes.
Entity and SPV set-up, tax compliance, FATCA and CRS assessment, AML reporting and governance frameworks.
Leadership assessment, organisational redesign, cost and working capital discipline, and performance measurement.
Feasibility study, liquidity plan, market survey, risk analysis and a staged relaunch of the business.