Berkeley Research Group

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Corporate Finance – Turnaround & Restructuring

at Berkeley Research Group

Posted: 11/25/2019
Job Status: Full Time
Job Reference #: 7f9c9317-d228-472a-b295-7ebd6ecf23a2

Job Description

Berkeley Research Group, LLC (BRG) is a global consulting firm that helps leading organizations advance in three key areas: disputes and investigations, corporate finance, and strategy and operations. Headquartered in California with offices around the world, we are an integrated group of experts, industry leaders, academics, data scientists, and professionals working beyond borders and disciplines. We harness our collective expertise to deliver the inspired insights and practical strategies our clients need to stay ahead of what's next.  Headquartered in Emeryville, California, BRG currently has over 40 offices across the U.S. and internationally.

 

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
  • Willingness to travel up to 100%

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 U.S., without company sponsorship.