Menara
Resolve
Recovery Operations & Valuation Support for Private Credit
When a private credit position becomes distressed, teams need more than analysis. They need structure, coordination, valuation discipline and calm execution. Menara Resolve helps lenders, AIFMs, fund administrators and auditors manage distressed situations from first warning signs to recovery outcome.
The operational layer
for distressed situations.
Distressed situations are time-consuming, sensitive and rarely revenue-generating for investment teams. Deadlines are missed, lawyers need to be chased, valuation assumptions must be justified, auditors need evidence and stakeholders require constant updates.
Menara Resolve acts as the operational layer that absorbs this complexity and gives teams a clear, structured process.
Three Pillars
Recover
Protect and maximise recoverable value.
- chevron_rightRecovery coordination
- chevron_rightLegal and advisor follow-up
- chevron_rightBorrower communication tracking
- chevron_rightCollateral and asset recovery monitoring
- chevron_rightAction timelines and deadline management
Value
Create defensible and audit-ready NAVs.
- chevron_rightDistressed asset valuation
- chevron_rightUnlisted company valuation
- chevron_rightRecovery scenario modelling
- chevron_rightCost and recovery timeline assumptions
- chevron_rightValuation memos and audit support
Resolve
Bring structure to distressed situations.
- chevron_rightStakeholder coordination
- chevron_rightCommittee packs
- chevron_rightReporting workflows
- chevron_rightDocument management
- chevron_rightAudit trail and approval tracking
Recovery NAV
Platform
Our platform provides a purpose-built workspace for distressed asset portfolios, combining recovery tracking, NAV computation, valuation assumptions, document management, cost tracking, action timelines and audit-ready reporting in one secure environment.
-
checkLine-by-line recovery source valuation
-
checkFace value, retained value and justification per asset
-
checkRecovery timeline and discounted NAV calculation
-
checkCost tracking
-
checkDocument repository
-
checkStakeholder permissions
-
checkAction logs and deadlines
-
checkAudit-ready export packs
Who We Support
Private Credit Funds
Direct lenders and credit funds managing distressed or underperforming loan books.
AIFMs
Alternative investment fund managers requiring defensible NAVs and audit-ready documentation.
Fund Administrators
Administrators seeking structured workflows and consolidated data for distressed positions.
Auditors
External auditors requiring evidence trails, valuation justifications and document-linked assumptions.
Family Offices
Single and multi-family offices with direct private credit exposures requiring active recovery management.
Special Situations Investors
Distressed debt investors requiring coordinated operational support across complex multi-creditor situations.
Bring structure to your next
distressed situation.
Speak with the Menara Resolve team to discuss your recovery management and valuation requirements.