Self-study: Receivership Toolbox, Part 2, How to Operate a Receivership

This March 2012 presentation covers Pre-receivership steps, First Day/Week Activities, Maintenance Duties (managing and reporting), Resolution Roles (liquidation or termination strategies), and Concluding the Receivership.

The balanced perspective of the two presenters—a workout lender and a practicing receiver—gives participants an in-depth introduction to what takes place during a receivership, reflecting on what is important from the respective viewpoints of experienced experts.


  • Greg Hays, CIRA, CTP, CSAR; Hays Financial Consulting (Moderator)
  • Chip Hoebeke, CPA, Rehmann
  • Dan Rouse, AIG Commercial Asset Finance
Price $125
CPE Credit Recommended, 2 CPE Credit hour(s), field of study—Accounting - Technical;
Knowledge level Basic: Most beneficial to CPAs and other financial advisors new to a skill or attribute, including individuals at staff or entry level in an organization as well as seasoned professionals with limited exposure to the area.
Additional Info Copies of the presenters’ PowerPoint slides are provided for reference during and after the presentation.
Format Digital Materials
Prerequisites None
Advance prep None

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Requests for refunds must be received within 10 days after receipt of course subject to a $25 cancellation fee and return of all materials in good condition.

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