职位描述
Analyze business financials to improve client’s liquidity, credit availability, and shareholder’s return
Perform modeling and analysis to support strategic operational and financial improvement initiative
Apply high-level understanding of various insolvency/bankruptcy processes to draft progress reports, set up internal trading schedules/models, and deal with creditor claims and disputes
Anticipate emerging threats through the use of market-lead technology to uncover possibilities that others may fail to find
Select appropriate methods for collecting and analyzing data, and develop informed recommendations to alleviate business concerns
Apply finance knowledge to effectively diagnose a crisis situation and/or help stabilize a client’s business
Manage own work in an ethical manner with a continuous attention to quality and risk rules, and confidentiality
Build models that are sophisticated, robust, and easily interpreted to inform insights
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