M

Mohnish Zaveri

Director of Engineering

New York, New York, United States11 yrs 7 mos experience
Most Likely To SwitchHighly Stable

Key Highlights

  • Expert in complex financial restructuring.
  • Proven track record in advising management teams.
  • Strong background in financial analysis and valuation.
Stackforce AI infers this person is a Financial Restructuring Expert with extensive experience in consulting and investment analysis.

Contact

Skills

Core Skills

RestructuringFinancial AnalysisValuationInvestment AnalysisPortfolio ManagementEquity ResearchConsultingMarket AnalysisRisk AnalysisInvestment Banking

Other Skills

Liquidity ManagementBusiness PlanningBankruptcy ReportingBankruptcyFinancial AdvisoryFinancial Litigation SupportFundamental ResearchMacroeconomic UpdatesInvestment RecommendationsStock ScreeningAnalytics ManagementMarket StrategyBusiness SolutionsRisk ManagementPortfolio Analytics

About

Mohnish Zaveri is a Director in the Turnaround and Restructuring practice at AlixPartners, based in New York. He advises management teams, boards, lenders, and creditors on complex financial and operational restructuring situations across industrial, technology, energy and consumer-related sectors. His work includes liquidity management, business planning,asset carveout and sale, and bankruptcy reporting. He has advised in both, in-court and out-of-court restructurings, including 363 sale processes, and has experience advising creditors and indenture trustees on recovery under plan and other topics.

Experience

11 yrs 7 mos
Total Experience
1 yr 11 mos
Average Tenure
3 yrs 1 mo
Current Experience

Alixpartners

2 roles

Director

Promoted

Jan 2025Present · 1 yr 4 mos · New York, New York, United States

  • Turnaround and Restructuring
Liquidity ManagementBusiness PlanningBankruptcy ReportingRestructuringFinancial Analysis

Senior Vice President

Mar 2023Dec 2024 · 1 yr 9 mos · New York, New York, United States

  • Turnaround and Restructuring

Duff & phelps

Vice President, Restructuring

Sep 2021Mar 2023 · 1 yr 6 mos · New York, New York, United States

  • Restructuring and Special Situations

The brattle group

Associate

May 2019Sep 2021 · 2 yrs 4 mos · New York, New York

  • Areas of focus
  • Bankruptcy and Restructuring
  • M&A Litigation
  • Valuation
BankruptcyRestructuringValuation

Murray analytics, inc.

Associate

Aug 2018May 2019 · 9 mos · Greater New York City Area

  • Restructuring Financial Advisory
  • Fiduciary Oversight
  • Financial Litigation Support
Financial AdvisoryFinancial Litigation SupportRestructuringFinancial Analysis

Caveat emptor capital management ( family office) - global equities, long/short

Investment Analyst

May 2017Jun 2018 · 1 yr 1 mo · Greater New York City Area

  • Fundamental research on public equities with a focus on TMT and retail
  • Evaluated co-investment opportunities in the private equity space with other family offices
  • Supported the CIO with macroeconomic updates for reviewing portfolio allocation
Fundamental ResearchMacroeconomic UpdatesInvestment AnalysisPortfolio Management

J r moore associates

Equity Research Analyst

Dec 2016May 2017 · 5 mos · Greater New York City Area

  • Deep value opportunities in Developed Asia and European markets
  • Screened for "net-net" stocks and developed investment recommendations for individual companies
Investment RecommendationsStock ScreeningEquity ResearchInvestment Analysis

Thomson reuters

Solutions Consultant

Oct 2014Jul 2016 · 1 yr 9 mos · Singapore/Hong Kong

  • Managing analytics opportunities in South East Asian markets. Worked with banks, investment management houses and regulators. Identifying key market gaps and formulate go-to-market strategy for product offerings
Analytics ManagementMarket StrategyConsultingMarket Analysis

Finmechanics

Consultant

Jul 2012Sep 2014 · 2 yrs 2 mos · Mumbai/ Singapore

  • Provide business solutions to Front/Middle/Back Office and Risk departments of bank treasuries with a strong domain understanding of FX, Interest Rates and Fixed Income products.
  • Well versed with VAR drivers, derivatives (Equity & FI) products i.e. futures, options (vanilla and exotic), swaps and the associated risks.
Business SolutionsRisk ManagementConsultingRisk Analysis

Gravitas

Risk Analyst (Intern)

May 2011Jul 2011 · 2 mos · Mumbai Area, India

  • Worked on portfolio analytics tools for implementation of risk reporting for Hedge funds
  • Developed Bloomberg- VBA model for reporting risk statistics -Value at Risk (VaR), stress tests, risk delta for equities, fixed income and derivatives portfolios and Back-tested the results using Bloomberg Risk Platform (BRSK)
Portfolio AnalyticsRisk ReportingRisk AnalysisPortfolio Management

Sns india advisory

Investment Banking Analyst (Intern)

Jun 2010Aug 2010 · 2 mos · Mumbai Area, India

  • Performed a comparative analysis for 3 companies based on key ratios and future growth prospects
  • Gained insight in basic accounting (P&L account, Balance sheets, Ratio analysis, Cash flow analysis)
Comparative AnalysisAccountingFinancial AnalysisInvestment Banking

Education

NYU Stern School of Business

Master of Business Administration (M.B.A.)

Jan 2016Jan 2018

Indian Institute of Technology, Bombay

B.Tech — Chemical Engg

Jan 2008Jan 2012

Jai hind

Higher Secondary Certificate — Science & Mathematics

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