Learn how companies navigate financial distress, restructure operations, and recover value through bankruptcy and financial modeling. Build practical skills in restructuring analysis and recovery valuation used in real-world finance.
This course provides a structured introduction to corporate restructuring and bankruptcy analysis. You will explore financial distress scenarios, understand distressed debt, and examine key bankruptcy frameworks such as Chapter 11 reorganization and Chapter 7 liquidation.
You will learn how restructuring decisions impact creditors, investors, and corporate strategy, supported by real-world case discussions. The course also introduces cross-border insolvency concepts and post-bankruptcy corporate recovery strategies.
A key focus of the course is financial modeling in restructuring. You will learn how to forecast cash flows from restructured operations, calculate Net Asset Value (NAV), and estimate asset recovery for creditors.
By the end of the course, you will be able to analyze distressed companies, apply restructuring models, and evaluate recovery outcomes—preparing you for roles in investment banking, corporate finance, and restructuring advisory.
This module introduces the core concepts of corporate restructuring and financial distress. Learners explore the meaning and types of restructuring, understand distressed debt scenarios, and examine key bankruptcy filings. The module also explains Chapter 11 bankruptcy and how it enables companies to reorganize financial obligations while continuing operations.
This module explores the practical application of bankruptcy laws and restructuring strategies. Learners examine the benefits of Chapter 11, compare Chapter 11 with Chapter 7 liquidation, and study real bankruptcy cases to understand restructuring outcomes. The module also introduces cross-border insolvency through Chapter 15 and analyzes how companies communicate guidance after emerging from bankruptcy.
This module focuses on the financial modeling techniques used in corporate restructuring. Learners explore how analysts build restructuring models, forecast cash flows from new business operations, and estimate company value after reorganization. The module also introduces key valuation concepts such as Net Asset Value and Net Asset Recovery Value to evaluate creditor recovery and financial viability.
Welcome to EDUCBA, a place where knowledge is limitless! We provide a wide selection of instructive and engaging programmes designed to empower students of all ages and experiences. From the convenience of your home, start a revolutionary educational experience with our cutting-edge technologies courses and experienced instructors.
When will I have access to the lectures and assignments?
To access the course materials, assignments and to earn a Certificate, you will need to purchase the Certificate experience when you enroll in a course. You can try a Free Trial instead, or apply for Financial Aid. The course may offer 'Full Course, No Certificate' instead. This option lets you see all course materials, submit required assessments, and get a final grade. This also means that you will not be able to purchase a Certificate experience.
What will I get if I subscribe to this Specialization?
When you enroll in the course, you get access to all of the courses in the Specialization, and you earn a certificate when you complete the work. Your electronic Certificate will be added to your Accomplishments page - from there, you can print your Certificate or add it to your LinkedIn profile.
Is financial aid available?
Yes. In select learning programs, you can apply for financial aid or a scholarship if you can’t afford the enrollment fee. If fin aid or scholarship is available for your learning program selection, you’ll find a link to apply on the description page.