Description
Team Profile:
Alvarez & Marsal’s BTS team works with healthy and distressed middle market PE firms as well as with mid to large cap companies with growth aspirations and profitability / efficiency related challenges.
The team works as partner to develop and execute restructuring plans. It provides liquidity assessment, business plan evaluation, creditworthiness assessment, & stakeholder negotiation services to clients. The BTS team helps clients effect positive change, manage risk and unlock value.
BTS also offers detailed due diligence, financial analysis and valuation, liquidity management, business plan development, investment / market entry solutions, revenue enhancement solutions, supply chain & operations improvement, and digital transformation.
BTS team consists of highly trained and experienced cross disciplinary advisers with legal, finance and IT backgrounds.
The practice covers varied sectors such as Transportation & Logistics, Consumer Packaged Goods, Food & Agri, Healthcare, Financial Services, Automotive, Energy, Digital & Tech, Industrial Goods, Aviation, Metals & Mining, Real Estate, Retail.
Job Roles & Responsibilities:
Project and Client Management:
- Plan and execute own tasks effectively
- Manage time effectively by strict adherence to commitments
- Willing to stretch and switch contexts
- Interact with clients and seniors independently and effectively to accomplish work tasks
- Earn client’s trust by displaying superior work ethic with utmost importance on client confidentiality
- Deliver superior quality work and satisfy client expectations
Delivery Excellence
- Research in-depth and generate reliable data
- Develop appropriate models with focus on rigor, quality and accuracy
- Develop or review (as appropriate) business plan
- Understand working capital situation and drive improvements to operating cash flow
- Identify areas of improvement to improve finance process and strengthen controls
- Develop a quick understanding of clients’ businesses and prepare a robust and realistic cash flow forecast
- Set up a robust cash monitoring process to track and monitor all financial transactions
- Prepare templates for payment approvals and actual payments tracking
- Set up payment approval process after review of contracts, related parties, key vendors
- Ensure payments are in line with budget and monitor on a weekly basis, highlight variances
- Prepare templates to monitor all financial transactions
- Monitor transactions esp. with a perspective of prevention of leakages
Communication:
- Articulate ideas in confident and concise manner
- Concise and effective written communication with high level of clarity and quality
- Prepares high-quality slides and decks
- Actively engage in meetings and add value to discussions by participating effectively
Team Work:
- Share relevant knowledge with team members
- Contribute to development of the team capability
- Develop positive working relationships and create positive working environment
- Engage with team beyond own module and help other team members
Qualifications:
- Chartered Accountant (CA)/ MBA Finance (Tier 1/Tier 2 Campus)
Experience:
- Required:
- 2 – 4 years of relevant professional experience
- Experience in being part of due diligence engagements for global large private equity funds and in corporate strategic deals OR Experience in working in large Indian companies/MNC’s in their finance organisation and has experience across establishing processes and controls and working in FP&A