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Senior Associate - Corporate Finance - Turnaround & Restructuring

80 000 - 135 000$
Формат работы
onsite
Тип работы
fulltime
Грейд
senior
Английский
b2
Страна
US
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

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TL;DR

Senior Associate - Corporate Finance - Turnaround & Restructuring: Provide strategic, operational, and financial advice to underperforming companies and stakeholders with an accent on turnaround advisory, financial modeling, and restructuring processes. Focus on building 13-week cash flow models, three-statement financial models, scenario planning, and articulating key financial issues and value drivers.

Location: Boston, MA (onsite, full-time). Must have legal right to work in the United States without company sponsorship.

Salary: $80,000 to $135,000 per year.

Company

BRG Corporate Finance practice offers turnaround & restructuring, strategic performance solutions, retail performance improvement, transaction advisory, and valuation opinions across industries like retail, healthcare, energy, and technology.

What you will do

  • Support client service teams on turnaround & restructuring engagements, executing modeling and client presentations.
  • Build 13-week cash flow models, three-statement models, and pro-forma scenario models using business, finance, and analytical skills.
  • Collaborate with T&R experts, other professionals, and client contacts to achieve engagement objectives.
  • Prepare reports, written analyses, presentations, and other client deliverables.
  • Participate in marketing, client pitches, and practice development in a fast-growing entrepreneurial environment.
  • Demonstrate professionalism, ethics, quality, and integrity.

Requirements

  • Bachelor's degree in Business, Accounting/Finance, Management, Engineering, Economics, Mathematics, or related field.
  • 3+ years of work experience, ideally in consulting or professional services.
  • Experience in financial modeling and analysis in Excel, including 3-statement models, cash flows, and scenario analyses.
  • Ability to manage and analyze large volumes of financial and operational data.
  • Excellent written and oral communication skills; strong problem-solving and project management skills.
  • Advanced in Microsoft Excel, PowerPoint, Word; familiarity with financial research tools like Capital IQ or Bloomberg.
  • Willingness to travel as needed.

Nice to have

  • CFA, CPA (or equivalent), or technical/GAAP accounting expertise.

Culture & Benefits

  • Team-oriented environment focused on agility, connectivity, and interdisciplinary collaboration.
  • Work with specialist consultants, industry experts, academics, and data scientists.
  • Global reach addressing complex challenges in economics, disputes, corporate finance, and performance improvement.
  • Equal opportunity employer committed to diversity and inclusion.

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