The role will involve the following:
- Analyzing company financial statements
- Forecasting cash flows and managing working capital (e.g. 13-week cash flow forecast modeling).
- To develop detailed industry marketing materials for multiple sub-sectors
- Conduct liquidation analyses
- Performing due diligence through the entirety of the execution process
- Involvement with Chapter 11 bankruptcy filings
- Maintaining client relations during the deal execution period and building industry-specific or product-specific expertise
- Regular contact with other internal teams within the bank to ensure the smooth running of the execution process
- To conduct research and analysis on the Consultancy's clients and prospects as well as industry sub-sectors and contribute ideas for those clients and prospects.
Requirements:
- 4-7 years of experience from a top Restructuring Firm or Investment Bank.
- Willingness to travel 80-100%
- Professional certification such as Certified Public Accountant (CPA), Chartered Financial Analyst (CFA), Certified Turnaround Professional (CTP), or Certified Insolvency and Restructuring Advisor (CIRA) or demonstrated progress toward such certifications preferred.
- Advanced proficiency in Excel, Microsoft Office, Word, & PowerPoint
- Team player and a self-starter
- Strong communication skills and able to work with tight deadlines
- Be able to work in small groups and be independent