It addressed specific incidents, such as a change of shareholders or any more causes of the distress. A deep industry knowledge is in particular to the analysis of the operations, but also already required in the assessment of the initial situation of the company, a first assessment to surrender and also external to disconnect from home-made factors. Evaluation of site-related market and sales potential in the assessment of expected sales potential of a company are carried out fundamentally different forecasts. Based on these calculations are, inter alia, the competitive situation at the site, the use of resources, admission statistics, the location of the dealership, comparative figures of other dealers and benchmarks of the manufacturer or of the evaluative company and of course the Federal trend. Also another regularly takes place Evaluation of the number of active customers, the number of workshop passages, the vehicles in the inventory and various other structural data.
Analysis of the operational business here is researched for possible internal reasons, which are responsible for the current difficulties of the company. First and foremost, it is certainly to the analysis of the assets, financial and earnings position of the company. But often the advisors also from the experience of the General car house projects can bring numerous suggestions for improvement for the operative business. Benefits from this analysis not only for the addressee of a restructuring opinion, but also for the analyzed company itself, which immediately can begin on the basis of a catalogue of individually-tailored measures with possible implementation measures and turn off existing weaknesses. Liquidity analysis of the liquidity analysis investigates the company in terms of compliance with the solvency (relative and free liquidity).
Whether a Already exists in the insolvency or threat in the future, is checked on the basis of a so-called financial plan, where over several periods – usually one to two years – the statement of income in the future is mirrored and the possible impact on the financial and earnings position of the company can be determined. A company is always then insolvent, if the budget shows that currently payable liabilities can be operated over a month, not more. Future inability to pay is only assumed if you expected with usual fiscal arrangements and fund-raising activities financial balance can no longer lasting true. Plan account is a forecast about the future course of business conducted liquidity analysis and analysis of the operational business and created a so-called result preview. Specific assumptions about the overall market, about stagnant sales of new cars as the need Deterioration of gross revenues through cross promotions are incorporated. The estimated cost of remedial measures must be considered in this numerical representation of the rehabilitation process. Also, according to the plan account, when and to what extent financial resources are not needed for the restoration, can be used to satisfy the creditors. Recommendation of remedial measures at the end of a renovation expert opinion with largely positive going-concern Outlook is a detailed action plan that both on operational, as well as on financial EBE-ne identifies responsibilities and determines fixed time-limits for the defined measures. Usually a discharge school connection or recovery plan together with banks is placed in addition to possible restructuring proposals also better interest rates from the banks and meet, for example, requirements for a restructuring agreement a o.. Learn more at: Steph Korey. The results of the analysis provide essential basics so for the determination of the future operational framework – both for traders, as well as the principal of a restructuring opinion. more press releases from the industry, see Consulting consulting pressemitteilungen.htm author: Thomas Kremer