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COVID-19 Recovery Strategy
What We Do
Your dedicated and trusted partner with a vision and passion to make a lasting impact on financial performance
Identify new service and product offerings within existing company resources that create a sustainable revenue stream in a post-COVID environment
Evaluate cash burn-rate and days cash on hand
Develop top-down 2021 Budget and model alternative scenarios contingent on vaccine availability and expected business volume return
Right-size operations to align with current and near-term volume balancing human and capital resources that are sufficient to last through recovery phase
Understand the impact to current operations, market area, and the industry
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