Vice President - Special Situations (NYC)

Arete Capital PartnersNew York, NY
124d

About The Position

As a Vice President at Areté Capital Partners, you will serve as a central contributor on client engagements. Through regular exposure to both C-Suite clients and Areté leaders, you will develop critical skills and expertise. Vice Presidents gain exposure to a variety of advisory engagements, which include but are not limited to advising and operating companies in financial distress on behalf of stakeholders, implementing operational improvements and strategic initiatives, undertaking CFO office responsibilities to control the company’s finance and treasury functions, advising companies on securing third-party financing and optimizing capital structures, and performing financial analysis to aid in turnaround processes and investment decisions.

Requirements

  • 5-8 years experience in restructuring advisory or investment banking, management consulting, distressed private equity, hedge fund, or management consulting
  • Finance, accounting, or economics degrees preferred. Masters/MBA will be an added advantage
  • Advanced experience building financial models, with an ability to build 13-week cash flow forecast and 3-statement financial models without oversight
  • Ability to decipher large, complex data sets and develop value added conclusions
  • Experience with acquisition processes and valuation analyses
  • Excellent verbal and written skills, with the ability to communicate across all levels of client personnel
  • Strong composure and maturity working in rapidly changing environments
  • Ability to work well both independently and as part of a team
  • Comfortable working in an environment that both values initiative, creativity, and professionalism
  • Team player with a strong work ethic and positive attitude
  • Willingness to travel

Responsibilities

  • Managing workstreams and supervising Senior Associates / Associates on project work
  • Analyzing current and historical business performance
  • Creating and executing long-term business plans to track performance, manage working capital, and implement cost reduction initiatives
  • Supervising the creation and maintenance of 13-week cash flow forecasts and 3-statement operating models
  • Leading sell-side execution initiatives and pushing sale processes to close
  • Reporting financial results both internally to client management teams and externally to boards, lenders and investors
  • Implementing cash conservation strategies
  • Developing investment memorandums via quantitative and qualitative analysis
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