$67.00 $399.00
Restructuring Modeling by Wall Street Prep instructs the best practices of bank restructuring through the analysis of Borders bankruptcy case study. Through the course, you can learn practical approaches rather than useless theories.
Course Overview
Restructuring Modeling by Wall Street Prep clarifies the importance of remodeling models and the right how-tos. The course uses the case study of Borders bankruptcy to bring up the reality while introducing theories of valuation analysis, recovery analysis, restructuring approaches, etc.
Course Outline
Bankruptcy/restructuring industry primer
- Bankruptcy overview
- Imputing asset values and measuring insolvency from market pricing of debt and equity
- The importance and limitation of valuation methodologies like DCF and Comps in restructuring
- Out of court restructuring process
- In court restructuring process
- Automatic Stay and Adequate Protection
- Cash Collateral and DIP Financing
- Restructuring Leases & Executory Contracts
- Fraudulent Conveyance & Preference Actions
- Plan of Reorg & Disclosure Statement and Cram Down Provisions
- The Absolute Priority Rule
Case study modeling and valuation
- Building a fully integrated three statement bankruptcy model
- Master modeling mechanics that dynamically distinguish between prepetition, post-petition, and post-emergence phases of a restructuring
- Make restructuring specific working capital and operational adjustments to traditional modeling assumptions
- Build a sophisticated multi-tranche debt schedule, including the possibility of a DIP rollup
- Deriving valuation ranges using multiples
- Analyzing proposed plan distribution
- Performing recovery sensitivity by investor class (“waterfall” analysis)
What Will You Learn?
- How to reclassify working capital like critical vendors/AP.
- How to design the balance sheet roll-forward schedules with an ongoing link structure to the cash flow statement.
- Insights into fees, rejection claims, and CODI.
- How to build a recovery waterfall that can accommodate scenarios.
- The effects of Fresh Start Accounting on the model.
- Effective methods to enhance model efficiency, the performance of auditing, etc.
- How to avoid circular references in the model without losing the model integrity.
Who Is This Course For?
The course is great for students and professionals who are pursuing careers in bankruptcy, bank model restructuring, etc.
Wall Street Prep
Please Login/Register if you want to leave us some feedback to help us improve our services and products.
RELATED COURSES
VIEW ALL-
Standout Authority Experience – Standout Authority$220.00$1,997.00Standout Authority Experience – Standout AuthorityUpdate 26 Dec 2023This is your opportunity to become a STAND OUT authority and uncover the ultimate LinkedIn content and marketing blueprint your brand will ever need.
Add to wishlist -
Advanced Option Course – Learn Options$30.00$199.00Advanced Option Course – Learn OptionsUpdate 13 Jan 2026An advanced options course explaining volatility, VIX, OPEX, and gamma positioning to help traders navigate extreme market conditions confidently.
Add to wishlist -
The SPX 35-40 Day Delta Neutral Unbalanced Butterfly – Sheridan Options Mentoring$30.00$297.00The SPX 35-40 Day Delta Neutral Unbalanced Butterfly – Sheridan Options MentoringUpdate 27 Jun 2022The SPX 35-40 Day Delta Neutral Unbalanced Butterfly from Sheridan Options Mentoring will teach you to become more confident in the options trading market.
Add to wishlist -
10-Day Algo Trading Launch – Edge Navigator$100.00$797.0010-Day Algo Trading Launch – Edge NavigatorUpdate 02 Jun 2025Discover high-conviction, asymmetric investment ideas beyond the mainstream with Edge Navigator’s weekly briefings by Andrew Falde.
Add to wishlist -
Tape Reading Big Caps 1 on 1 – Jtrader$29.00$297.00Tape Reading Big Caps 1 on 1 – JtraderUpdate 29 Jun 2022All LevelsTape Reading Big Caps 1 on 1 reveals the edge that all traders dream of, the ability to read tape and watch their account grow. With this course, you will be able to increase your efficiency, your risk/reward ratio, and catch greater moves with the least amount of risk.
Add to wishlist -
Build and Backtest Algorithmic Trading Portfolios with Python – Quant Science$50.00$497.00Build and Backtest Algorithmic Trading Portfolios with Python – Quant ScienceUpdate 27 Jan 2025Beginners fail at investing due to confusion, risks, and inexperience, but the right course can change that.
Add to wishlist

Reviews
There are no reviews yet.