About this role
BRG Corporate Finance (http://www.thinkbrg.com/expertise-corporate-finance.html), a business unit within Berkeley Research Group (BRG), provides multidisciplinary services and solutions to lenders, companies, investors and attorneys through our core practice areas:
• Restructuring and Bankruptcy Services
• Transaction Advisory Services
• Valuation Services
• Capital Markets Services
• Alternative Investment Advisory
• Bank Regulatory Services
• Litigation, Forensics, and Dispute Resolution Services
• BRG is interested specifically in candidates who have 3 – 10 years of experience with turnaround or restructuring experience with a consulting background to join our team.
Responsibilities
We are seeking qualified individuals to join the Turnaround & Restructuring team. This position offers advancement opportunities within a rapidly growing, dynamic and fast-paced consulting firm in an entrepreneurial environment. Skills should include experience in:
• Building, maintaining and analyzing 13-week cash flow models
• Developing three statement financial modeling, including scenario planning
• Executing financial planning & analysis
• Understanding and managing the Chapter 11 process
• Assessing transactions, including sales of assets or businesses
• Preparing financial models, pro-forma financial statements, and sensitivity analyses.
• Assessing business plans and key operational performance drivers of a business
• Analyzing economic and industry trends and data to develop recommendations
• Multitasking different aspects of a project while adhering to the applicable deadlines
• Interacting with client's personnel at all levels of a business
• Analyzing legal docs and discussing issues with deal constituents to develop an understanding of a given transaction
Qualifications
• Bachelor's degree or degree equivalent in Business, Accounting/Finance, Management, Engineering, Economics, Mathematics, or related field
• 3 to 10 years of prior work experience, ideally in a consulting or professional services environment involving financial analysis, M&A auditing or accounting services
• Expertise in financial modeling and analysis (particularly in Excel), including constructing and understanding 3-statement financial models, 13-week cash flows and scenario analyses
• Ability to manage and analyze large volumes of financial and operational data
• Ability to interpret the results of qualitative and quantitative analysis and develop insights and recommendations
• Excellent written and oral communication skills and a demonstrated ability to interact with junior and senior team members, senior management and other stakeholders or professionals
• Mature presence, empathy, intellectual curiosity, and ability to learn quickly
• Strong problem solving and project management skills
Preferred Skills
• Strong data analysis and problem-solving abilities
• Expert in Microsoft Word, Excel, PowerPoint
• Ability to work well independently or in a team dynamic
• Ability to manage multiple tasks, prioritize changing work demands and learn quickly
• Experience with transactions is a plus
• A Master's degree, MBA, CFA, or CPA is a plus
• Certifications in FP&A, CTP, PMP, Six Sigma or related areas is a plus
• Basic understanding of SQL, Python, VBA or other coding languages is a plus
• Basic understanding of Tableau or other data visualization tools is a plus
• Knowledge of financial management systems and tools is a plus
Candidate must be able to submit verification of his/her legal right to work in the United States, without company sponsorship.
BRG is an Equal Employment Opportunity/Affirmative Action Employer. All qualified candidates will receive consideration for employment without regard to race, color, religion, sex, gender identity, sexual orientation, national origin, disability, or protected veteran status.