
Job Overview
Location
Chicago; Dallas; New York
Job Type
Full-time
Category
Software Engineering
Date Posted
June 20, 2026
Full Job Description
đź“‹ Description
- • Perform in-depth analysis of current and historical business performance and capital structure to inform turnaround and restructuring strategies
- • Develop 13-week cash flow forecasts to assess liquidity profiles and identify immediate cash needs for distressed clients
- • Build and maintain dynamic, integrated three-statement financial models that project client performance under various scenarios
- • Support the creation and execution of corporate strategic plans aligned with client turnaround and restructuring objectives
- • Provide hands-on implementation support for approved business plans, ensuring alignment with financial and operational goals
- • Engage directly with client management and personnel to gather data, clarify objectives, and drive consensus on critical decisions
- • Develop and present appraisals of business options, contingency plans, and alternative restructuring pathways
- • Gather, analyze, and organize large, often incomplete datasets to extract actionable insights for client engagements
- • Assist in the preparation and administration of bankruptcy filings and related legal documentation
- • Support the development of high-quality client deliverables including reports, presentations, and financial analyses
- • Provide interim operational support on key business functions as directed by engagement leads
- • Travel to client sites as required to conduct on-site assessments, meetings, and implementation activities
- • Lead and mentor junior team members while maintaining direct involvement in complex financial modeling and analysis tasks
- • Communicate complex financial and operational issues clearly to clients, stakeholders, and senior leadership
- • Manage multiple high-priority workstreams simultaneously, balancing project oversight with hands-on execution
- • Operate effectively in fast-paced, uncertain environments with shifting priorities and tight deadlines
- • Demonstrate strong business writing skills to produce clear, concise, and persuasive client-facing documentation
- • Maintain a deep understanding of financial statement interpretation and the dynamics between private equity sponsors and portfolio companies
- • Contribute to firm growth by identifying opportunities for service expansion and client retention through exceptional deliverables
- • Embody entrepreneurial spirit within a flat, collaborative organizational structure that values initiative and ownership
- • Deliver exceptional client service by combining technical rigor with strategic insight and responsive communication
- • Lead by example in fostering a culture of accountability, teamwork, and professional development across all levels
🎯 Requirements
- • Bachelor’s degree in Finance and/or Accounting
- • Minimum 6+ years of relevant professional work experience
- • Hands-on experience building, developing, and maintaining fully dynamic, integrated three-statement financial models and 13-week cash flow models
- • High proficiency in Microsoft Excel, Word, and PowerPoint
- • Demonstrated expertise in conducting quantitative and qualitative analyses, including financial underperformance assessment and capital structure analysis
- • Experience delivering independent business reviews, short-term cash flow assessments, and contingency planning
🏖️ Benefits
- • Annual salary range of $150,000 to $190,000
- • Bonus compensation
- • Hybrid work model with flexibility to work remotely 2 days per week
- • Opportunity to work alongside 1,600+ finance and technology experts in a collaborative environment
Skills & Technologies
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About Accordion Partners, LLC
Accordion Partners is a private equity-focused financial consulting firm providing portfolio company value creation services. It delivers interim management, financial planning & analysis, operational improvement, and transaction support to middle-market PE-backed businesses across North America. Founded by ex-Bain and Deloitte professionals, the company embeds senior-level talent within client organizations to accelerate EBITDA growth, optimize cash flow, and prepare assets for exit. Services span strategic finance, accounting, treasury, pricing, supply chain, and M&A integration, delivered through a flexible staffing model that scales with deal timelines and investment horizons.
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