Vice President
Turnaround & Restructuring
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, and work product that helps guide the direction and decisions related to client turnaround and/or restructuring objectives.
This role can be based out of our Chicago, Dallas, or New York office and is a hybrid role with the flexibility to work remotely 2 days a week. Ideal candidates should be local to the desired location.
What You’ll Do:
- Perform analysis of current and historical business performance and capital structure
- Create 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
- Aid in bankruptcy preparation and administration
- Travel to client site as needed
You Have:
- Bachelor’s degree in Finance and/or Accounting is preferred
- Graduate business degree with concentration in finance, accounting and/or operations preferred
- Minimum 6+ years of relevant professional work experience
- Hands-on experience building / developing / maintaining fully dynamic, integrated 3-statement financial, and 13-week cash flow models
- High proficiency in Microsoft Word, Excel and PowerPoint
- 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
- Strong analytical and business writing skills
- Ability to work well under pressure and independently yet understand when to ask for guidance
You Are:
- A self-starter with a strong work ethic
- A leader of others; you lead by example
- A strong team player, able to work with team members across all levels
- Able to effectively communicate complex issues and solutions, and raise issues to senior team members when necessary
- Comfortable managing projects with multiple complex workstreams while also focused on your single workstream (you are managing and doing).
- Excited to be part of a growing team, with a focus on driving future growth
- Full of entrepreneurial spirit and comfortable in a fluid, flat organization
- Knowledgeable about the relationship between Private Equity sponsors and their portfolio companies
- Passionate about delivering exceptional client service
- Someone who enjoys mentoring others and doing meaningful work
- Willing to get your hands dirty in the details of a project while simultaneously seeing the whole picture
Pay
The annual salary for this role ranges from: $150,000 to $190,000 + benefits + bonus. Actual compensation packages are determined by evaluating a wide array of factors unique to each candidate, including but not limited to skill set, years and depth of experience, education, certifications, cost of labor and internal equity.
Benefits
Benefits offered include: health insurance, retirement plan, paid time off, and more.
Schedule
This role is a hybrid role with the flexibility to work remotely 2 days a week.
Qualifications
None specified.
Skills
Skills required include: strong analytical and business writing skills, ability to build and maintain strong relationships, and experience with financial modeling and analysis.
Benefits
Benefits offered include: health insurance, retirement plan, paid time off, and more.
Pay
The annual salary for this role ranges from: $150,000 to $190,000 + benefits + bonus. Actual compensation packages are determined by evaluating a wide array of factors unique to each candidate, including but not limited to skill set, years and depth of experience, education, certifications, cost of labor and internal equity.
Accordion is an Equal Opportunity Employer
We are committed to building a team that represents a variety of backgrounds, perspectives, and skills. We do not discriminate on the basis of race, color, religion, marital status, age, national origin, ancestry, physical or mental disability, medical condition, pregnancy, genetic information, gender, sexual orientation, gender identity or expression, veteran status, or any other status protected under federal, state, or local law.