Unlock Value and Thrive Fast in a Volatile Market

In today’s volatile market landscape, challenges and opportunities coexist, urging businesses to act decisively. At Paulson and Partners, we specialize in cross-border corporate restructuring in Dubai and performance improvement for businesses globally, helping clients navigate complex and high-stakes situations with unparalleled expertise.

Ready to Unlock Value?

In times of uncertainty, rapid, strategic responses are critical to sustaining and enhancing business value. Our Restructuring & Performance Improvement professionals bring specialized international business structuring advisory to help management teams, boards, and stakeholders address stress, manage crises, drive turnarounds, and ultimately optimize cash flow and profitability. We deliver tailored restructuring solutions with actionable insights, designed to accelerate recovery and transformation according to each client’s unique circumstances.

By connecting insight with our proven analytics tools, we ensure clarity and direction every step of the way, enabling you to move fast and thrive

Cash & Working Capital Optimization: Maximizing Liquidity and Operational Efficiency

Cash and liquidity have become priorities across finance agendas. Our cash optimization consultants and working capital specialists at Paulson and Partners offer actionable insights, helping clients in Dubai and beyond to tightly monitor and maximize cash flow. In response to rising inflation, interest rates, and increased costs of capital, we bring data-driven cash optimization strategies that address these modern financial pressures.

The Never-Ending Story: Navigating Inflation and Interest Rate Hikes

With inflation hitting 10% or more across major markets, and central banks responding with aggressive interest rate hikes, managing working capital has never been more essential. This, combined with ongoing supply chain disruptions, has created a challenging environment, especially for PE and corporate clients. Rising energy costs, raw material price hikes, and safety stock inflation are squeezing profits and cash flows.

Beyond Cash: Expanding Forecasting, Treasury, and Hedging

Once immediate cash flow concerns are resolved, we identify opportunities to expand into advanced forecasting, treasury, and hedging, reinforcing long-term cash control and profit improvement initiatives.

Selected Deliverables Include:

  • 13-Week Rolling Cash Flow Forecast Model
  • Operational Dashboards
  • Prioritized Initiatives for Cash Flow Management
  • Cash Flow and Working Capital Benchmark Assessments
  • Reporting Cycle and Process Optimization

Cash Scan
(1-2 weeks )

Rapid identification of cash improvement opportunities with minimal management input and data-driven insights.

Cash Deep-Dive
(3-6 weeks)

Comprehensive cash planning with actionable insights, customized dashboards, and overlaid forecasts.

Publications

41 days ago 03 min read

The hidden cost of poor Corporate Structuring: how much are you losing?

88 days ago 02 min read

Corporate Restructuring in 2025: Navigating Challenges and Embracing Opportunities

88 days ago 01 min read

Elon Musk’s Email Strategy: A Productivity Blueprint for the Modern Workplace

88 days ago 03 min read

Citigroup’s Bold Restructuring Under Jane Fraser: A New Era for Banking?

Why Choose Paulson and Partners for Restructuring & Performance Improvement?

With our international tax advisory services Dubai and high-net-worth tax planning services across borders, Paulson and Partners ensures robust, compliant, and efficient restructuring and cash management strategies for all clients. Backed by industry expertise and data-driven solutions, we help you thrive in a dynam