Location: Chicago, Dallas, or LA
Job Type: Full-Time
Travel: Up to 80%
Experience Level: 3-6 years post-undergraduate
Company Overview: This firm is a leading Turnaround and Restructuring firm specializing in financial restructuring and turnaround management. Their dedicated team of experts helps clients navigate complex financial challenges and achieve sustainable business outcomes. They are seeking a talented and experienced Restructuring Senior Associate or Manager to join their dynamic team.
Position Overview: As a Restructuring Senior Assocaite or Manager, you will play a critical role in advising clients on financial and operational restructurings. You will be responsible for building comprehensive 3-statement financial models from scratch and analyzing 13-week cash flows. The ideal candidate will have 3-6 years of professional experience, with a strong foundation in financial analysis, and will be willing to travel up to 80% to client sites, providing hands-on support.
Key Responsibilities:
Financial Modeling: Develop detailed 3-statement financial models to assess the financial health of client organizations and identify areas for improvement.
Cash Flow Analysis: Analyze and project 13-week cash flows to provide insights into short-term liquidity needs and optimize cash management strategies.
Client Engagement: Work closely with clients to understand their financial challenges and develop tailored restructuring plans.
Data Analysis: Collect and analyze financial and operational data to identify key issues and trends affecting the client's business.
Due Diligence: Conduct due diligence on client financials, contracts, and operations to inform restructuring strategies.
Financial Planning: Assist in the development of comprehensive financial plans and forecasts to guide clients through the restructuring process.
Stakeholder Communication: Communicate financial analyses and recommendations effectively to clients and stakeholders, both orally and in written reports.
Travel: Be willing and able to travel extensively (up to 80% of the time) to client locations as needed.
Team Collaboration: Collaborate with cross-functional teams within the organization to ensure successful project execution.
Qualifications:
- Bachelor's degree in finance, accounting, business, or related field.
- 3-6 years of professional experience in financial analysis, restructuring, or related roles.
- Proficiency in building complex 3-statement financial models from scratch.
- Experience in analyzing 13-week cash flows is highly desirable.
- Strong analytical and problem-solving skills.
- Excellent communication and presentation abilities.
- Ability to work independently and as part of a team.
- Willingness to travel extensively as required.
Why Join?
- Opportunity to work with a leading firm in the financial restructuring and turnaround management industry.
- Collaborative and dynamic work environment.
- Exposure to a wide range of industries and client challenges.
- Competitive compensation and benefits package.
- Exposure to C-suite and board member professionals.
