Corporate Finance and Restructuring Director for an Outsourced Business Services Firm

Area : Los Angeles/Dallas

Description : Our client is a unique accounting and business consulting firm that offers a wide range of outsourced business services to small businesses and start-ups. This is an exciting and fast-paced firm with an awesome culture. The company covers everything from basic bookkeeping and tax planning to forecasting/budgets to HR, legal, and acquisition work. They are seeking a Corporate Finance & Restructuring Director to supervise and oversee the processes for financial forecasting and reporting within the company.


- Assure legal and regulatory documents are filed and monitor compliance with laws and regulations

- Develop strategic recommendations and developing relations with senior management, external partners, and stakeholders

- Assist with high-level decisions about policy and strategy

- Identify and address financial risks and opportunities for clients

- Provide leadership, direction, and management of process and operations team assigned to deals, including directing other team members, and managing outside professionals involved in the engagement and client personnel

- Apply project management skills to ensure projects are scoped properly, appropriate priorities are established, implementation plans are executed, and projects meet client expectations

- Establish personal credibility, increases client satisfaction, manages client expectations, develop relationships with key decision-makers, all while maintaining a professional image


- Bachelor’s degree in Accounting, Finance, or MBA

- Minimum of 10 years experience in the restructuring industry plus client-side experience

- Familiarity with bankruptcy and non-bankruptcy insolvency approaches

- In-depth knowledge of corporate financial law and risk management practices

- Excellent knowledge of data analysis and forecasting methods

- Strong financial and accounting background, including an understanding of profit and loss, balance sheet and cash flow management, and general finance and budgeting

- Demonstrated leadership ability, confidence, and executive presence

- Excellent communication (both written and verbal), mathematical, and organizational skills

- Ability to work both independently and as part of a team in a fast-paced, multi-task environment with strong attention to detail; projects typically include work on-site at various client locations

- Proficient in the use of MS Office and financial management software

Published : May 26, 2021

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