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Restructuring Analyst/Associate – Investment Banking

eFinancialCareers · London

Mid 🇬🇧 English
financial modelling debt analysis cash flow forecasting

Job description

About the role

This position is for an Analyst or Associate joining a fast‑growing Restructuring team at a leading UK mid‑market investment banking platform. You will work on liquidity advisory, refinancing, contingency planning and broader balance‑sheet restructuring mandates, gaining exposure to live deals from day one.

Key responsibilities

  • Support execution of restructuring and special‑situations mandates.
  • Build and maintain detailed three‑statement financial models, liquidity forecasts and downside scenarios.
  • Assist with strategic options analysis, refinancing reviews and capital‑structure assessments.
  • Prepare client presentations, lender materials, information packs and board documentation.
  • Conduct financial and operational analysis on stressed or under‑performing businesses.
  • Coordinate stakeholders including lenders, sponsors, management teams and legal advisers.
  • Assist senior team members on accelerated sale processes, debt advisory and contingency planning.
  • Monitor live workstreams and manage multiple transactions simultaneously.
  • Contribute to market research, pitch material preparation and prospective mandate development.

Required profile

  • 1–4 years of experience in investment banking, restructuring or financial modelling.
  • Strong analytical mindset with high attention to detail.
  • Demonstrated interest in restructuring, special situations or leveraged finance.
  • Excellent written and verbal communication skills.
  • Strong work ethic and desire for a long‑term career in restructuring advisory.

Required skills

  • Financial modelling
  • Debt analysis
  • Cash flow forecasting

Questions fréquentes

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Published 1 month ago

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eFinancialCareers

London