Financial Analyst, US Financial Consulting Group

RichterChicago, IL
Hybrid

About The Position

Richter Consulting, Inc. (“RCI”) is a member of the Richter Group, serving US-based leverage lenders, private equity firms, and major banks with their portfolio companies/investments. RCI offers expertise in Business Assessment, Cash Flow Forecasting, Financial Reorganization/Profitability Improvement, Crisis Management, Transaction Advisory, and Asset-Based Lending Diligence. This role offers a unique learning experience in 3-statement financial modeling, incorporating cash flow/liquidity, and insight into operational and corporate strategies, revenue drivers, profitability improvement, cost savings, and KPI analysis. Professionals will draw upon accounting/finance fundamentals, contribute to customized work products with tangible results, and participate in diverse engagements across various industries. The role involves working directly with experienced Partners in a team committed to professional development. Occasional travel within the USA is required.

Requirements

  • 1-5 years of relevant experience (CPA Audit, FP&A)
  • Proficient in Excel and PowerPoint
  • Strong aptitude for quantitative and qualitative analyses
  • Advanced analytical and problem-solving skills
  • Willingness to learn and adapt in a changing environment
  • Desire to develop new skills
  • Excellent communication (written and verbal), presentation, and organizational skills
  • A positive and energetic attitude

Nice To Haves

  • Alteryx or Power Query/Pivot a plus

Responsibilities

  • Work within a multidisciplinary team of professionals on a variety of stimulating engagements (typically 6-7 weeks).
  • Deliver consulting services involving companies in numerous industries experiencing challenges arising from over-leverage, liquidity problems, under-performance, macroeconomic events, or other business transitional/operating issues.
  • Provide expertise in Business Assessment, Cash Flow Forecasting, Financial Reorganization/Profitability Improvement, Crisis Management, Transaction Advisory and Asset-Based Lending Diligence.
  • Develop 3-statement financial modeling, incorporating cash flow/liquidity.
  • Analyze operational and corporate strategies, revenue drivers, profitability improvement, cost savings, and KPI analysis.
  • Contribute to customized work products with tangible results and actionable recommendations.
  • Participate in diverse engagements with exposure to a variety of industries.

Benefits

  • Experience in a specialized, highly regarded consulting practice
  • Exposure to sophisticated companies
  • A unique learning experience in 3-statement financial modeling, incorporating cash flow/liquidity
  • Insight into operational and corporate strategies, revenue drivers, profitability improvement, cost savings, KPI analysis, etc.
  • Draw upon your accounting/finance fundamentals and apply them to real-life situations
  • Contribute to a customized work product with tangible results and actionable recommendations
  • Participate in diverse engagements, with exposure to a variety of industries
  • Become a more well-rounded professional, developing soft and technical skills
  • Work directly with experienced Partners
  • Join a team committed to investing in your development
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