Restructuring & Recovery Analyst | Turnaround Advisory

RSM Australia

Sydney

On-site

AUD 90,000 - 130,000

Full time

9 days ago
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Benefits offered by this job

Health and wellness benefits
Professional development opportunities

Job summary

RSM Australia is seeking an experienced professional to join the Restructuring & Recovery team in Sydney. You will support businesses, lenders and stakeholders through periods of change, performing financial analysis, cash flow forecasting and business reviews to deliver practical solutions.

The role requires 2-4 years in a similar role, strong communication, attention to detail and the ability to work autonomously within a team.

Qualifications

  • 2-4 years in a similar role
  • Strong communication skills
  • Strong attention to detail
  • Ability to work autonomously and as part of a team
  • Business / Commerce degree with Accounting Major
  • Law degree with interest in Insolvency

Responsibilities

  • Review receipt authority, payment authority, day one investigation letters and statutory forms
  • Conduct investigations into the affairs of a company/individual
  • Prepare ASIC reports
  • Assist with interview of directors/bankrupts
  • Reviews work of Graduates
  • Help identify, research and resolve all complex issues
  • Prepare letters of demand
  • Assist with the trade on of a business including the preparation of budgets and forecasts
  • Liaise with lawyers, agents and auctioneers
  • Preparation of reports to creditors including financial analysis
  • Draft correspondence and act as main point of contact in regards to correspondence on engagements

Skills

Strong communication skills
Attention to detail
Autonomy and teamwork

Education

Business / Commerce degree with Accounting major
Law degree with interest in insolvency
CA or equivalent (in progress)

Job description

RSM Australia is seeking an experienced professional to join the Restructuring & Recovery team in Sydney. You will support businesses, lenders and stakeholders through periods of change, performing financial analysis, cash flow forecasting and business reviews to deliver practical solutions.

The role requires 2-4 years in a similar role, strong communication, attention to detail and the ability to work autonomously within a team.

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