Share plans: Company cashflows and restructuring
Managing cashflows will be a significant headache for many companies in the current COVID-19 environment and beyond. This briefing considers how share plan operation might be modified to support cash retention, and what impact more extreme cash management decisions may have on outstanding share plan awards.
We consider:
- strategies to reduce cash outflows;
- the impact of redundancies and other reductions in headcount; and
- the impact of external fundraises.