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.
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