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Restructuring Consultant / Senior Consultant

Selby Jennings, Chicago, IL, United States


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.

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

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 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 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

Possess strong analytical and business writing skills

Able to work well under pressure and independently yet understand when to ask for guidance

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