Mark Kennedy, Manager

Mark Kennedy has more than ten years of experience in investment banking and financial services. He is skilled in business plan preparation, merger and acquisition strategies, working capital management, and performance improvement and modeling. Mark has prepared 13-week cash flow models, 3-statement models, and liquidation analyses. He is a member of the Turnaround Management Association (TMA) and the Association of Insolvency & Restructuring Advisors (AIRA).

Representative Experience

  • Financial advisor for $30MM oilfield services company where he provided weekly cash flow forecasting and variance reports, trained CFO and finance department, and provided working capital analysis and impact on liquidity management.
  • Financial advisor for $25MM food contract operator. Provided daily borrowing base certificates to secured lenders, provided weekly cash flow reports, and produced periodic liquidity reports for day-to-day operations.
  • Built integrated 3-statement and 13-week cash flow models for a private business services company. Models were used to advise company leadership on capital structure and liquidity needs.
  • Vice President for infrastructure development company where he identified private infrastructure transportation opportunities and worked with local governments to determine a project’s viability. Managed the project financing process and determined optimal capital structure based on the cash flow of the project.
  • Manager at an infrastructure manufacturing company. Managed acquisition process from the introductory phase to closing, created financial models, negotiated Sales & Purchase Agreements (SPA) with sellers, and built memoranda and presentations for the acquisition committee.
  • Analyst for an investment bank where he developed financial models for credit underwriting, leveraged buyouts, mergers, and acquisitions. Evaluated transaction profitability and feasibility, while also building presentations for stakeholders.

Contact Information

E-mail: mark.kennedy@cr3partners.com
Phone: (404) 809-0665
LinkedIn | VCard


Industries

  • Manufacturing
  • Building Products
  • Construction
  • Business Services
  • Energy
  • Retail

Education & Certifications

  • B.S., University of Alabama
  • M.B.A., Emory University

Mark Kennedy, Manager

Contact Information

E-mail: mark.kennedy@cr3partners.com
Phone: (404) 809-0665
LinkedIn | VCard


Industries

  • Manufacturing
  • Building Products
  • Construction
  • Business Services
  • Energy
  • Retail

Mark Kennedy has more than ten years of experience in investment banking and financial services. He is skilled in business plan preparation, merger and acquisition strategies, working capital management, and performance improvement and modeling. Mark has prepared 13-week cash flow models, 3-statement models, and liquidation analyses. He is a member of the Turnaround Management Association (TMA) and the Association of Insolvency & Restructuring Advisors (AIRA).

Representative Experience

  • Financial advisor for $30MM oilfield services company where he provided weekly cash flow forecasting and variance reports, trained CFO and finance department, and provided working capital analysis and impact on liquidity management.
  • Financial advisor for $25MM food contract operator. Provided daily borrowing base certificates to secured lenders, provided weekly cash flow reports, and produced periodic liquidity reports for day-to-day operations.
  • Built integrated 3-statement and 13-week cash flow models for a private business services company. Models were used to advise company leadership on capital structure and liquidity needs.
  • Vice President for infrastructure development company where he identified private infrastructure transportation opportunities and worked with local governments to determine a project’s viability. Managed the project financing process and determined optimal capital structure based on the cash flow of the project.
  • Manager at an infrastructure manufacturing company. Managed acquisition process from the introductory phase to closing, created financial models, negotiated Sales & Purchase Agreements (SPA) with sellers, and built memoranda and presentations for the acquisition committee.
  • Analyst for an investment bank where he developed financial models for credit underwriting, leveraged buyouts, mergers, and acquisitions. Evaluated transaction profitability and feasibility, while also building presentations for stakeholders.

Education & Certifications

  • B.S., University of Alabama
  • M.B.A., Emory University