Corporate Advisory

Strategic guidance for businesses navigating growth, liquidity, and operational pressure.

Sterling Asset Group’s Corporate Advisory practice supports business owners and operators facing the realities of a high-rate, high-volatility environment. Whether you’re managing tightening cash flow, rapid expansion, or the need to stabilize operations, our approach blends financial clarity with actionable strategy.

We work with companies across industries to evaluate their capital position, identify pressure points, and structure practical solutions that restore momentum. In a landscape where traditional financing can move slowly or overlook the needs of growing businesses, we provide discreet, high-touch support that helps founders move decisively.

What We Focus On

  • Cash-Flow Diagnostics & Liquidity Mapping
    Identifying short-term constraints, operational inefficiencies, and upcoming cash demands.

  • Working Capital Strategy
    Planning for payroll, inventory, vendor cycles, and month-to-month volatility.

  • Debt & Obligation Review
    Evaluating current loans, credit lines, or existing obligations—and providing pathways to consolidate, renegotiate, or restructure where appropriate.

  • Capital Access & Funding Readiness
    Preparing businesses for fast decision-making with lenders, investors, or private capital partners.

  • Business Credit & Corporate Profile Optimization
    Strengthening corporate credit positioning to widen financing options over time.

Who This Helps

Businesses that are:

  • Growing faster than their liquidity

  • Facing seasonality or uneven revenue cycles

  • Managing heavy payroll demands

  • Balancing multiple vendor obligations

  • Experiencing tighter margins due to high rates or inflation

  • Preparing for a major contract or expansion

  • In need of short-term working capital to keep operations smooth

Our Approach: Quiet, Precise, Strategic

We operate with strict discretion.
No mass-volume underwriting.
No generic “one-size-fits-all” solutions.

Every engagement begins with a strategic review of:

  • cash flow

  • obligations

  • revenue stability

  • upcoming operational needs

  • long-term goals

From there, we determine the fastest, most effective path to stabilize, strengthen, and position your business for the next stage of growth—whether through restructuring, optimization, or creating a direct line to flexible working capital solutions.

For Business Owners Looking to Move Quickly

If you’re experiencing cash-flow pressure or preparing for a major expense, Sterling can provide:

  • a clear understanding of your options

  • a direct route to capital solutions

  • a confidential advisory relationship

  • and a strategy that protects your business long-term

To request a private review of your business’s current financial position, contact us directly.

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