Alvarez & Marsal - Atlanta, GA

posted 3 months ago

Full-time - Entry Level
Atlanta, GA
Professional, Scientific, and Technical Services

About the position

The Associate position in CFO Services at Alvarez & Marsal (A&M) is designed for individuals who are eager to work with private equity-held portfolio companies. The primary objective of this role is to provide clients with solutions that enhance and preserve the value of their businesses. A&M CFO Services focuses on improving transparency regarding key drivers and business performance, supporting the increase of cash flow and EBITDA, and ensuring that portfolio companies have credible plans and the capability to execute and deliver on financial outcomes. The CFO Services team offers a range of services, including Liquidity & Working Capital Optimization, Strategic Analytics & Planning, Performance Measurement & Management, Business Transformation, and Auxiliary Services such as Accounting Remediation. As an Associate, you will be involved in data collection, validation, and analysis, where you will identify, request, and process relevant data to complete fact-based analyses. You will be responsible for validating all data used in calculations, reconciling models and reports, and compiling findings into clear and digestible spreadsheet templates and presentation slides. In addition to data analysis, you will execute operational tasks independently, which may include developing tools and templates for client use, creating slide decks, and quality checking your work to ensure it is accurate and logically structured. Collaboration is key in this role, as you will work closely with other team members, sharing knowledge and viewing all interactions as learning opportunities. A strong financial acumen is essential, as you will need to possess financial modeling experience and a basic understanding of financial statements, treasury, and cash management, along with an understanding of the cause and effect relationships to trial balance accounts.

Responsibilities

  • Data collection, validation, and analysis to support fact-based analyses.
  • Identify, request, and process relevant data and information for analysis.
  • Validate all data used in calculations and reconcile models and reports.
  • Compile findings into clear spreadsheet templates and presentation slides.
  • Execute operational tasks independently, including tool/template development and slide deck creation.
  • Quality check work products to ensure accuracy and logical flow.
  • Set up tools and utilize client software/apps to access client data.
  • Collaborate with team members and share knowledge.

Requirements

  • Graduate of an accredited 4-year college/university with a concentration in accounting, finance, or economics preferred but not required.
  • 2-4 years of experience in Accounting/Finance, Financial Due Diligence, Restructuring, Investment Banking, or Private Equity.
  • Experience in building integrated financial models and strong Excel/PowerPoint skills.
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