Alvarez & Marsal - Middle City West, PA
posted 3 months ago
A&M CFO Services specializes in working with private equity-held portfolio companies, providing tailored solutions aimed at preserving and generating value for their businesses. The primary objective of our team is to enhance transparency regarding key drivers and overall business performance, which in turn supports the increase of cash flow and EBITDA. We are committed to delivering tangible benefits through hands-on involvement in our clients' operations, ensuring that private equity firms can rely on credible plans and the capability to execute and achieve desired financial outcomes. Our CFO Services encompass several critical pillars, including Liquidity & Working Capital Optimization, Strategic Analytics & Planning, Performance Measurement & Management, and Business Transformation. Additionally, we offer Auxiliary Services such as Accounting Remediation. Each of these areas is designed to address the unique challenges faced by our clients, enabling them to navigate complex financial landscapes effectively. In this role, you will be expected to engage in data collection, validation, and analysis. This involves identifying, requesting, and processing relevant data to complete fact-based analyses. You will validate all data used in calculations, ensuring accuracy and reliability by reconciling models and reports both individually and collectively. Critical thinking is essential as you will need to apply rules independently to produce precise analyses. Your findings will be compiled into clear and digestible spreadsheet templates and presentation slides, which will be used to communicate insights to clients. Project management and implementation are also key components of this position. You will execute operational tasks independently, which may include developing tools and templates for client use, fulfilling specific client requests, and creating slide decks. Quality assurance is paramount; you will be responsible for checking your own work to ensure it addresses the subject matter accurately, flows logically, and is free from errors. Familiarity with client software and applications will be necessary to access and utilize client data effectively. Collaboration is a vital aspect of our work culture. You will be expected to work closely with other team members, sharing knowledge and viewing all interactions as opportunities for learning. A solid financial acumen is required, including experience in financial modeling and a basic understanding of financial statements, treasury, and cash management. Understanding the cause-and-effect relationships within trial balance accounts will also be crucial for success in this role.
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