Restructuring report in compliance with IDW S6 For investors

At a glance

Initial Situation

An IDW S6 report is required in cases of restructuring feasibility, fresh money decisions, term extensions, or increased default risk. Investors need a recognized standard that clearly demonstrates the ability to continue as a going concern.

Our Approach

We analyze the causes of crises, examine the feasibility of restructuring and continuation, develop a mission statement and a program of measures, and back everything up with integrated, verifiable corporate planning.

Your Benefit

  • Quantified impact of measures and financing requirements
  • Debt/equity story ready for decision-making according to established standard

in Detail

Initial Situation
A restructuring report in accordance with IDW S6 becomes relevant for investors when the ability to restructure must be formally demonstrated—for example, before term extensions, new investment decisions, or in the event of increased default and liability risk. You need a recognized standard that reliably documents continuity and debt servicing.

What is a restructuring report in accordance with IDW S6?
The IDW S6 report is a comprehensive, implementation-oriented restructuring concept that takes into account the case law of the Federal Court of Justice (BGH). It analyzes the causes of the crisis, examines the feasibility of restructuring and continuation, develops a mission statement and program of measures, and underpins everything with integrated planning.

Objective, significance, and purpose of a restructuring report in accordance with IDW S6
The aim is to provide reliable evidence of sustainable viability. The report quantifies the impact of measures and financing requirements, creates legal and regulatory security for investors, and enables informed decisions on fresh money, covenants, haircuts, or governance requirements based on an established audit framework.

Support from Horn & Company
Horn & Company prepares IDW S6 reports that are rigorous and suitable for banks and investors. We combine operational restructuring, industry logic, and integrated financial planning, test scenarios, and consolidate the results into a clear debt/equity story. This provides investors with a basis for decision-making.

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Our experts

Dr. Michael Lukarsch
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Christian Meidinger
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Dr. Christian Czernay
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Johannes Dachlauer 
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