We analyzed financial statements, cash flow, cost structures, and trends to identify weaknesses, prioritize actions, and establish immediate stabilization measures.
We reviewed spending, eliminated inefficiencies, and implemented controls to reduce costs, improve margins, and support sustainable operations.
We optimized working capital, managed payables, and forecasted cash requirements to stabilize liquidity and support ongoing business continuity.
We developed recovery plans, aligned stakeholders, and implemented monitoring to ensure accountability, resilience, and long term financial sustainability.
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