Restructuring Associate: Cash Flow & Turnaround

G2 Capital Advisors

Boston (MA)

Hybrid

USD 125,000 - 220,000

Full time

14 days+
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Benefits offered by this job

Catered lunch 4 days a week
Unlimited vacation
401K match
Quarterly peer-recognition awards
Team events & outings
Branded swag
Referral bonus

Job summary

G2 Capital Advisors is seeking a Restructuring Associate in a hybrid role based in Boston, NYC, or Chicago. You will interact with clients to provide financial analysis, modeling, and presentation materials while collaborating on deal processes.

The role emphasizes liquidity management, cash flow forecasting, and multi-year planning, with mentorship to develop junior resources and lead high-stakes projects. A strong background in investment banking or advisory settings is preferred.

Qualifications

  • 3+ years of experience with liquidity management.
  • Experience in professional services, management consulting, or investment banking environments; able to adapt between settings.
  • Strong knowledge of Microsoft Office, especially Excel and PPT.
  • Familiarity with CapIQ, VBA, ERP systems and BI reporting is a plus.

Responsibilities

  • Manage liquidity and forecast financial performance with 13-week cash flow, P&L budgets, and multi-year plans.
  • Build integrated three-statement financial models and 12-month operating plans.
  • Lead client-facing work streams and coordinate with stakeholders across boards, lenders, investors, and management.
  • Create valuation analyses, including break-even and liquidation analysis.
  • Develop and deliver client-ready final work products: PPT presentations and Excel reports.

Skills

Liquidity management
Microsoft Excel
PowerPoint
VBA
ERP systems
BI reporting
Client-facing
Stakeholder management

Tools

CapIQ

Job description

G2 Capital Advisors is seeking a Restructuring Associate in a hybrid role based in Boston, NYC, or Chicago. You will interact with clients to provide financial analysis, modeling, and presentation materials while collaborating on deal processes.

The role emphasizes liquidity management, cash flow forecasting, and multi-year planning, with mentorship to develop junior resources and lead high-stakes projects. A strong background in investment banking or advisory settings is preferred.

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