Investment Banking Analyst/Associate - Financial Advisory


Dallas
Permanent
USD100000 - USD120000
Investment Banking
PR/525340_1738597531

Investment Banking Analyst/Associate - Financial Advisory

Job Title: Corporate Restructuring/Financial Advisory - Analyst/Associate

Location: Dallas

About the Company: Our client is a leading investment banking firm in the U.S., with over 20 years of experience. They offer a fully integrated range of investment banking and financial advisory, tailored to help middle market companies through each stage of their lifecycle. The firm has multiple offices across the U.S. and is a subsidiary of a well-known financial institution.

Position Overview: Our client is seeking a highly skilled and motivated Analyst and Associate to join their Corporate Restructuring/Financial Advisory team. As such, you will play a crucial role in developing solutions to financial and operational challenges faced by clients, ultimately improving their overall performance. This position requires strong analytical skills and a solid understanding of accounting and finance, particularly in turnaround, restructuring, bankruptcy, and performance improvement projects.

Key Responsibilities:

  • Gather, organize, and analyze large sets of data, often unorganized and incomplete.
  • Create, analyze, and update 13-week cash flow models and other financial models.
  • Utilize Microsoft Excel, PowerPoint, and other business applications to create client deliverables.
  • Assist in bankruptcy preparation and administration for clients.
  • Perform research and develop pitch deck support using various websites, databases, and publicly available information.
  • Communicate constructively with both clients and team members.

Qualifications:

  • 2-3 years of experience in corporate restructuring, investment, accounting, and/or consulting is preferred.
  • BA/BS degree and/or MBA/MS in Accounting, Finance, or other analytical fields.
  • Advanced proficiency in Microsoft Excel and PowerPoint.
  • Foundational understanding of operational and financial restructuring, debtor and creditor preferred.
  • Ability to design, build, and use comprehensive integrated financial models.
  • Strong understanding and analysis of financial statements.
  • Ability to work well against deadlines and manage multiple work streams.
  • Strong problem-solving and critical thinking skills.
  • Excellent oral communication and business writing skills.
  • Attention to detail, leadership skills, and a strong work ethic.
  • Willingness to travel.
  • Must be authorized to work in the United States.

Why Join Our Client: Our client is known for its unique culture of sharing, collaboration, and teamwork. They offer a supportive environment where employees can thrive and grow. The company is committed to diversity, equity, and inclusion, ensuring equality of opportunity for all employees. They provide extensive training and mentorship programs to help employees build their careers and succeed in their roles.

FAQs

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