Managing Consultant - Corporate Finance - Turnaround & Restructuring
Job Description
Berkeley Research Group (BRG) blends world-leading academic credentials with world-tested business expertise and purpose-built emerging technologies. The culture emphasizes agility and connectivity, creating an environment where you can move quickly, collaborate closely, and build credibility as you support high-impact corporate finance engagements.
This full-time role is based in Boston, MA (onsite) and supports BRG’s Corporate Finance practice within Turnaround & Restructuring. Compensation for this position is USD 120,000 to 185,000 per year.
What You’ll Do
As a Managing Consultant, you will provide strategic, operational, and financial guidance while leading turnaround advisory workstreams. You’ll support the day-to-day delivery for client service teams and manage analytical output that informs client recommendations and deliverables.
- Support BRG Corporate Finance, Turnaround & Restructuring client service teams in day-to-day engagement activities.
- Manage junior team members across multiple tasks, including financial modeling and client presentation support.
- Apply business, finance, accounting, and analytical skills to perform and oversee models and analyses, including 13-week cash flow models, 3-statement models, and pro-forma scenario models.
- Collaborate with T&R and BRG experts, professionals from other firms, and client contacts to achieve engagement objectives.
- Assist in preparing reports, written analyses, presentations, and other client deliverables.
- Contribute to a fast-growing, entrepreneurial consulting practice, including marketing support, client pitches, and product and practice development.
- Maintain the highest standards of professionalism, ethics, quality, and integrity.
- Build and expand a client network to become a trusted and reputable advisor.
Qualifications
- Bachelor’s degree or degree equivalent in Business, Accounting/Finance, Management, Engineering, Economics, Mathematics, or a related field.
- 7+ years of work experience, ideally in a consulting or professional services environment.
- Expertise in financial modeling and analysis (especially in Excel), including constructing and understanding 3-statement financial models, cash flows, and scenario analyses.
- Ability to manage and analyze large volumes of financial and operational data.
- Capability to interpret qualitative and quantitative findings and develop insights and recommendations.
- Proven ability to work with junior and senior team members, senior management, and other stakeholders.
- Strong problem-solving and project management skills.
- CFA, CPA (or equivalent), or technical/GAAP accounting expertise is a plus.
- Advanced proficiency in Microsoft Excel, PowerPoint, and Word.
- Familiarity with financial research tools such as Capital IQ and Bloomberg.
- Willingness to travel as needed.
Key Skills and Exposure
- Three-statement financial modeling, including scenario planning
- Financial planning & analysis
- 13-week cash flow modeling
- Chapter 11 process
- Transactions, including sale of assets or businesses
Tools and Technologies
- Excel, PowerPoint, Word
- Capital IQ, Bloomberg