Restructuring Consultant/Senior Consultant
Listed on 2026-01-15
-
Finance & Banking
Corporate Finance, Financial Consultant, Financial Analyst -
Business
Financial Analyst
Recruitment Consultant - Investment Banking & Restructuring at Selby Jennings
Location:
Chicago, IL
Our nationally recognized turnaround, restructuring and advisory team serves companies and their stakeholders across a wide spectrum of industries and sizes, with a focus on the middle market. We provide clients with a team of seasoned professionals who have notable track records of creating value through both operational turnarounds and financial restructurings. We are actively recruiting Turnaround & Restructuring professionals to join our team.
You will provide extensive financial and operational support on client engagements across a variety of industries and markets; utilize experience and on the job training to successfully deliver reports, models, work product and advice that helps guide the direction and decisions related to client turnaround and/or restructuring objectives.
This position is not eligible for immigration sponsorship.
Base pay range$/yr - $/yr
What You’ll Do- Perform analysis of current and historical business performance and capital structure
- Develop 13-week cash flow forecasts that outline the liquidity profile and cash needs
- Create dynamic financial models that exhibit the client's historical and potential future performance
- Support the creation and preparation of corporate strategic plans
- Provide implementation support to approved business plans and strategies
- Engage with client personnel and management as necessary to achieve objectives
- Develop and furnish appraisal of business options and contingency plans as needed
- Effectively gather, analyze, and organize large data sets which may be incomplete
- Support the development of quality client deliverables
- Provide interim support on operating functions and job duties as directed
- Assist in bankruptcy preparation and administration
- Travel to client site as needed
- Bachelor's degree in finance and/or accounting is preferred
- Graduate business degree with concentration in finance, accounting and/or operations preferred
- Minimum 1+ years of relevant professional work experience
- Hands‑on experience building / developing / maintaining fully dynamic, integrated 3‑statement financial, and 13‑week cash flow models
- Highly proficient in Microsoft Word, Excel, and Power Point
- Ability to build and sustain strong and trusted relationships with colleagues and stakeholders
- Demonstrated expertise and aptitude with conducting quantitative and qualitative analyses, particularly with constructing integrated financial models, analyzing financial underperformance and related services
- Experience working on projects delivering independent business reviews, short term cash flow assessments, capital structure analysis, and contingency planning
- Capacity to thrive in a fast-paced, challenging, and uncertain environment
- Deep understanding of how to interpret and analyze financial statements
- Possess strong analytical and business writing skills
- Able to work well under pressure and independently yet understand when to ask for guidance
Mid‑Senior level
Employment TypeFull‑time
Job FunctionFinance
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