Corporate financial restructuring

Corporate financial restructuring is a comprehensive advisory service focused on redesigning a company’s capital structure, liquidity profile, and financial obligations to restore long-term stability and value creation. It encompasses the assessment of financial performance, debt and equity instruments, and stakeholder positions in order to identify sustainable restructuring scenarios and strategic options. The service typically includes the development and implementation of restructuring plans, negotiations with creditors and investors, and the optimization of financial frameworks to support future growth and resilience. Submit a request

Reinventing Corporate Balance Sheets in the Danish Market

Corporate financial restructuring in Denmark is increasingly becoming a strategic response to structural shifts in the global economy, changing regulatory expectations and evolving stakeholder demands. Read more.

Case study

Industrial Turnaround Through Debt Redesign

Years of aggressive expansion left a large industrial manufacturing company with a complex web of loans, leasing contracts and off-balance-sheet obligations. When demand ...More +

Retail Chain Saved by Balance Sheet Reset

A nationwide non-food retail chain entered a period of severe stress after several years of declining footfall and rising online competition. Store-level profitability de...More +

Food Producer Reinvented via Capital Overhaul

A regional food production company, supplying private-label and branded products to major supermarket chains, faced a convergence of pressures that threatened its surviva...More +

Tech Firm Rescued by Strategic Recapitalization

A fast-growing technology company providing cloud-based solutions to enterprise clients found itself in a precarious position despite impressive revenue growth. Years of ...More +

What we provide

Strategic Diagnosis

We conduct a rapid yet comprehensive assessment of the company’s financial position, liquidity profile, and business model to identify root causes of distress and restructuring levers.

Liquidity Stabilization

We design and implement short-term cash management, liquidity preservation, and working capital optimization measures to stabilize the business and extend its financial runway.

Capital Structure

We analyze the existing capital structure and develop alternative debt and equity scenarios that rebalance risk, cost of capital, and flexibility for all key stakeholders.

Creditor Negotiations

We lead or support negotiations with lenders, bondholders, and other creditors to achieve consensual amendments, waivers, haircuts, or new money injections on sustainable terms.

Business Turnaround

We help define and execute operational turnaround plans, including cost restructuring, portfolio rationalization, and performance improvement initiatives that underpin the financial plan.

Valuation Analytics

We provide independent valuation, scenario, and recovery analyses to inform restructuring options, support negotiations, and meet regulatory and accounting requirements.

Legal Frameworks

We work alongside legal advisors to structure in-court and out-of-court restructuring processes, aligning financial solutions with applicable insolvency and restructuring regimes.

Implementation Support

We manage end-to-end execution of the agreed restructuring plan, coordinate stakeholders, monitor covenants and milestones, and adjust actions as conditions and performance evolve.

Corporate Financial Restructuring as a Lever for Sustainable Development

Corporate financial restructuring, when designed and implemented by a consulting firm with a strong sustainability focus, becomes a powerful tool for steering companies and entire sectors toward a low‑carbon, inclusive and innovation‑driven future. I...

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How can we support you?

Corporate financial restructuring focuses on stabilizing liquidity, optimizing capital structure, and restoring long‑term financial resilience. The service supports management, shareholders, and creditors in navigating complex turnaround situations, from early warning signals to full-scale restructuring and post-deal integration.
Independent Business Review and Liquidity Diagnostics
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Radner conducts an in‑depth independent business review to provide stakeholders with a clear, objective view of the company’s financial position and prospects. The analysis covers cash flow generation, working capital dynamics, profitability by segment, and short‑term liquidity risks. Particular attention is paid to identifying structural versus temporary issues, separating one‑off effects from recurring performance. Detailed cash flow forecasting is developed under multiple scenarios to quantify the runway and funding gap. The outcome is a fact‑based platform for decision‑making, enabling management and creditors to align on the scale and urgency of the restructuring. This diagnostic phase often becomes the reference point for subsequent negotiations and strategic choices.
Capital Structure Optimization and Debt Restructuring
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The service supports the design and execution of comprehensive capital structure solutions tailored to the company’s risk profile and strategic objectives. Work typically includes assessment of existing debt instruments, covenants, and security packages, as well as identification of refinancing, extension, or amendment options. Radner helps structure solutions such as maturity extensions, covenant resets, debt‑for‑equity swaps, or layered financing, balancing the interests of different creditor classes. Financial models are built to test the sustainability of the proposed structure under various macroeconomic and business scenarios. Stakeholder communication materials are prepared to articulate the rationale, benefits, and risks of each option in a transparent manner. The result is a more resilient capital structure that supports long‑term value creation rather than short‑term fixes.
Turnaround Planning, Performance Improvement, and Cash Management
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The service includes the development of a pragmatic turnaround plan that links financial restructuring with operational improvements. Focus is placed on rapid cash generation through working capital optimization, cost reduction, and portfolio rationalization. Radner works with management teams to define clear initiatives, owners, milestones, and KPIs, ensuring that the plan is both ambitious and executable. Robust 13‑week cash flow forecasts and daily liquidity dashboards are implemented to improve visibility and control. Governance mechanisms, such as steering committees and performance review routines, are set up to track progress and enable timely course corrections. This integrated approach helps transform short‑term stabilization into sustainable performance improvement.
Stakeholder Negotiations, Legal Interfaces, and Transaction Execution
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Support is provided across the full negotiation and execution cycle with lenders, bondholders, investors, and other key stakeholders. Assistance covers preparation of negotiation strategies, term sheets, and restructuring proposals that are coherent with the business plan and legal constraints. Radner collaborates closely with legal advisors, insolvency practitioners, and other specialists to align financial, legal, and regulatory dimensions of the restructuring. Communication strategies are designed to manage expectations of employees, suppliers, and customers, minimizing disruption to ongoing operations. Project management disciplines are applied to coordinate workstreams, manage timelines, and mitigate execution risks. This end‑to‑end support increases the likelihood of reaching consensual, durable agreements that protect enterprise value.

Why choose us?

Strategic Insight

We combine deep financial restructuring expertise with a strategic view of your long‑term business model, so that every recommendation strengthens both liquidity and competitiveness. We translate complex capital structure challenges into clear, actionable steps that management and owners can confidently implement.

Stakeholder Alignment

We actively manage the dialogue with banks, investors, and key stakeholders to secure realistic terms and sustainable agreements. We build trust through transparent communication and data‑driven scenarios, which helps us prevent conflicts and accelerate decision‑making.

Nordic Execution

We leverage our experience on the Danish market and broader Nordic environment to design solutions that reflect local legal, banking, and regulatory specifics. We stay closely involved from diagnosis to implementation, ensuring that the restructuring plan is not only well designed but also rigorously executed.

Contact

Need more information? Contact us.