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Interpath Advisory

Associate Manager, Restructuring

Interpath Advisory

. Stabilize clients’ financial and operational performance .

Posted 9/15/2026full-timeDüsseldorf • GermanyJuniorMid-LevelWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates expertise in financial analysis, restructuring strategies, and liquidity forecasting, with a strong ability to create integrated financial models and implement effective business plans. Proficient in conducting independent business reviews and managing distressed M&A projects while communicating fluently in German and English.

Highest-signal resume keywords
Financial AnalysisRestructuring ExperienceFinancial ModelingIndependent Business Reviews (IBRs)Liquidity Forecasting

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Financial AnalysisFinancial Modeling3-Statement Financial ModelsLiquidity AnalysisMarket AssessmentCapital Structure AnalysisOptions ReviewCash Flow AnalysisBusiness Plan PreparationCost-Saving Initiatives
Soft Skills
Analytical ThinkingProblem SolvingCommunication
Industry Keywords
RestructuringDistressed M&ACross-Border Wind-DownsWorker CouncilsOperational PerformanceFinancial ProjectionsRisk AssessmentStakeholder EngagementProfit ImprovementDiagnostic Assessment

About the role

Key responsibilities & impact
  • Stabilize clients’ financial and operational performance
  • Rapidly understand clients’ current situation and prospects, including diagnostic assessment of key business and market issues and liquidity forecasting
  • Assess current business plans and financial projections, identifying risks and opportunities
  • Create robust alternative solutions for businesses and stakeholders
  • Write and implement restructuring plans
  • Create integrated financial models and short-term cash flow forecasting tools
  • Deliver financial and operational restructuring engagements
  • Support balance sheet restructuring and distressed M&A projects
  • Manage cash and liquidity forecasting
  • Support cross-border wind-downs and negotiations with Worker Councils
  • Prepare and validate business plans
  • Conduct independent business reviews
  • Report on cost-saving initiatives and profit improvement

Requirements

What you’ll need
  • Strong academic background
  • Experience in a Restructuring team at a leading consultancy or Big Four
  • Strong financial analysis skills
  • Advanced experience building financial and 3-statement financial models
  • Prior experience creating Independent Business Reviews (IBRs), liquidity analysis, market assessment, capital structure analysis, options review, and cash flow analysis
  • Native or business-fluent German and English (C1) is essential
  • Additional European languages, including French and Spanish, are advantageous

Benefits

Comp & perks
  • Competitive salaries
  • Range of core and optional benefits
  • Opportunity to work with colleagues and clients physically or remotely
  • International and cross-border project exposure