Crisis cash management 

Helping to stabilize cash flow and buying time for effective negotiations with stakeholders.
  • Immediate and near-term funding requirements analysis
  • Development and transfer of robust cash-flow forecasting processes to management
  • Identification of short-to-near-term cash-generation and cash-preservation opportunities
  • Assistance with implementing the opportunities
  • Advice to management on effective communications with stakeholders

For more information, please contact:

GR Christon
214.840.2122
gchriston@kpmg.com