Michael has extensive advisory experience specializing in contingency planning, liquidity management, business planning, and cash flow forecasting. He has worked in the energy, financial services and automotive sectors for large and mid-market companies.

Prior to joining AlixPartners, Michael worked in the Global Treasury and Capital Markets department of American International Group in various corporate finance roles including cash management, cash flow forecasting during the government supported recapitalization, strategic planning, capital management and corporate development.

Key engagements:

  • Served as acting Treasurer of a mid-market pharmaceutical company; oversaw liquidity and cash management, creditor relations and contingency planning.
  • Advisor to Tier 1 automotive supplier; led liquidity management and working capital improvement.
  • Served as interim Treasurer of mid-market medical equipment company; led liquidity management, business plan development and working capital optimization.
  • Advisor to American Tire Distributor; supported Treasurer in developing a forecasting and planning tool projecting both long-term and short-term liquidity needs.
  • Advisor to McDermott International; managed liquidity reporting and forecasting during the Chapter 11 restructuring, supported development of business plan and evaluated EPC project cash flow.
  • Advisor to Westinghouse Electric Company; provided global treasury and cash management services, including creating the 13-week cash flow forecasting process, assisting treasury with crisis management and developed the five-year business plan utilized for sale process.