Corporate Stock Strategy & Cash Flow Management
Maintaining or growing a business requires cash and/or borrowing capacity. Often, our involvement is consultative to closely held companies making changes to their ownership structure. We work with management to identify sources of capital to enhance balance sheet strength as well as coordinate one or more of the following efforts:
- Restructuring debt
- Restructuring equity
- Raising capital
- Control issues
- Make a market for stock
- Key employee incentives
- Manage share price