Guided the senior lending group through a Chapter 11 process including 363 sale transactions, cross border asset realization
and dip financing agreements, resulting in full repayment of the senior lending facility.
Developed a comprehensive liquidity forecasting model and assessed financial forecasts and product line profitability,
resulting in a successful refinancing of the Company’s senior debt facility.
Assessed short-term and long-term business prospects in light of increased foreign competition,
monitored company performance and evaluated strategic alternatives to cope with reduced liquidity levels.
Led a 10 member lender group through a restructuring including capital structure issues and setting of revised covenants.