About Us

Restoring Cash, Margin, and Operational Stability to Industrial Businesses

Operator-led turnaround management and interim executive leadership for lower-middle-market manufacturers, distributors, and industrial service providers.

The Operator Advantage

When gross margins erode, cash tightens, or bank covenants come under pressure, traditional advisory reports fall short. You need rapid, active execution on the ground.

Amore Advisory provides battle-tested executive leadership born from lived operational experience—not academic models or spreadsheet consulting. We speak the language of plant floors, working capital cycles, and debt restructuring. Whether navigating sudden customer concentration shocks or executing deep fixed-cost rationalization, we step directly into the leadership gap to stabilize cash flow, protect enterprise value, and restore profitable growth.

Core Engagement Models

1. Rapid Operational & Cash Diagnostic (2-Week Sprint) A targeted, high-impact assessment to locate cash leakage and construct an actionable recovery plan.

  • 13-Week Cash Flow Audit: Granular liquidity forecasting and working capital stabilization.
  • Margin & Overhead Analysis: Pinpointing plant-floor inefficiencies, yield loss, and cost structure drag.
  • 90-Day Execution Roadmap: Clear, prioritized operational milestones to halt cash burn and restore covenant compliance.

2. Interim Leadership & Chief Restructuring Officer (CRO) Hands-on, senior executive execution to guide businesses through crises, operational shifts, or executive transitions.

  • Direct Operational Oversight: Taking full accountability for day-to-day turnaround execution and operational realignment.
  • Lender & Workout Partner Interface: Managing communications with banks, asset-based lenders, and key creditors to maintain runway.
  • Structural Cost & Margin Alignment: Renegotiating supplier terms, rationalizing overhead, and rebalancing customer concentration.

How We Work Together

  • Phase 1: Confidential Alignment Call (15 Minutes)We discuss your current operating environment, debt structure, and critical priorities to confirm mutual fit.
  • Phase 2: 2-Week Rapid DiagnosticWe analyze your cash velocity, margin profile, and plant operations to deliver a clear 90-day turnaround blueprint.
  • Phase 3: Execution & StabilizationWe step in as interim executive leaders or hands-on advisors to execute the plan, stabilize operations, and rebuild sustainable profitability.