Masters degree or foreign equivalent in Finance, Accounting, Economics or closely related and minimum 3 years of corporate restructuring, investment or commercial banking experience. Experience must include analyzing financial statements; preparing 3statement modeling; managing 13week cash flow forecast modeling; assessing key business operational performance drivers; implementing cash conservation guidelines; preparing bankruptcy documents including first day motions, UST reporting, or disclosure statements; conducting liquidation and recovery analyses; and facilitating cost reduction, performance and operations improvement initiatives. Domestic or international travel required. Frequency and duration impossible to predict.
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