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Develop and maintain strong internal controls over the regulatory reporting process, including data sourcing, validation, reconciliation, and reporting workflows.. Partner with key stakeholders across Finance, Treasury, Risk Management, IT, and Compliance to ensure alignment of regulatory reporting with business operations and strategic objectives.. Minimum of 10 years of progressive experience in regulatory reporting within the banking or financial services industry.. Strong understanding of liquidity risk, capital adequacy, stress testing, and other regulatory frameworks (e.g., Dodd-Frank, Basel III).. Proficiency in regulatory reporting systems, data management tools, and advanced Excel.
Arcadia Capital is seeking highly motivated, successful candidates with relevant investment banking experience for an Investment Banking Analyst position based at our headquarters in Miami, Florida.. The Investment Banking Analyst will play a critical role in supporting senior bankers in executing a wide range of transactions within the technology sector, including mergers and acquisitions, capital raising and strategic advisory assignments.. Conduct comprehensive financial analysis, including financial modeling, valuation, and scenario analysis. Support due diligence efforts by analyzing financial statements, conducting market research and preparing diligence materials for transactions. Strong quantitative and analytical skills, with proficiency in financial modeling and valuation techniques
Analyst II - Investment Banking - Corporate Finance Location: Chicago, Illinois or New York, New York Full/Part-Time: Full-Time FLSA Status: Exempt Equal Employment Opportunity Employer The objective of this position is to provide support to the senior banking team members in all aspects of client coverage and business development for debt capital markets, equity capital markets, M&A advisory, and private capital advisory.. Responsibilities will include marketing support, research and analysis (industries and companies), financial modeling, deal execution and documentation and client follow-up and updates.. Two years of previous work experience in Investment Banking is required.. Candidate would have ninety (90) days from the date of hire to pass the SIE and Series 79 exams and nine months from the date of hire to pass the Series 63 exam.
The Associate position entails analyzing financial statements, creating financial models, performing industry and company research, assisting in the creation of marketing and buyer/investor presentations, drafting offering memoranda, identifying prospective buyers and investors and other tasks related to mergers & acquisitions, corporate finance and investment banking.. Ideal candidates should have at least two years of experience in an investment banking analyst role as well as a bachelor’s degree in accounting, finance, marketing or economics with coursework in financial accounting and financial statement analysis.. The Associate position offers the opportunity to further develop a vast set of finance, accounting and marketing skills and gain deep exposure to mergers & acquisitions and private placement transactions.. Gaining an understanding of the interests and acquisition investment criteria of both strategic buyers and private equity firms, domestic and foreign. At least 2 years of experience in an investment banking analyst role
Currently working with a leading private equity firm specializing in secondary investments and they are looking to add a highly motivated and skilled Private Equity Secondaries Associate to join the team.. The ideal candidate will have a strong understanding of financial modeling, deal execution, and an interest in corporate finance and investment.. Evaluate investment opportunities and conduct due diligence. Assist in deal execution and portfolio management. Proven work experience in private equity, investment banking, or related fields
Investment Banking Associate - Leveraged Finance Portfolio Management. This Investment Banking Associate, Leveraged Finance Portfolio Manager position is a newly created opportunity within a leading specialty finance investment bank and commercial lender.. Based out of the companies primary headquarters in Chevy Chase, MD this position will offer a hybrid work from home/office schedule, a base salary in the $125,000 range, a 20%-30% annual bonus, full benefits, and excellent career mobility.. This is an unique opportunity for candidates with 2 or more years professional experience within investment banking, public accounting deal/transactions, leveraged lending, or private equity experience to pivot into one of the regions premiere financial services firm.. 2-4 years of professional experience within investment banking, public accounting deal/transactions, leveraged lending, or private equity
Job Title: Analyst, Healthcare Investment Banking. Cantor Fitzgerald & Co. is a preeminent investment bank serving more than 5,000 institutional clients around the world, recognized for its strengths in fixed income and equity capital markets, investment banking, SPAC underwriting, PIPE placements, commercial real estate, and for its global distribution platform.. Capitalizing on the firm’s financial acumen and technology prowess, Cantor’s portfolio of businesses also includes Prime Brokerage, Asset Management, and other businesses and ventures.. Interact with corporate clients, private equity firms, venture capital firms and senior bankers. Bachelor’s Degree required, preferably from a top-tier school
The Fund Banking Analyst is responsible for providing financial analysis and support for fund banking operations.. What You'll Bring Basic understanding of the venture capital / private equity ecosystem and how private investment funds are structured.. Minimum Required: 1+ years of full-time work experience, preferably in commercial banking, finance, accounting, investment banking, or alternative investments.. Strong MS Excel skills with the preferred ability to use many different functions (pivot tables, macros, lookup/index match, etc. We are a global wealth management and investment banking firm serious about innovation and fresh ideas.
We are working with multiple middle-market private equity firms looking to hire Associates to join their deal teams in the first half of 2025.. The ideal candidate should have 1-3 years of experience in an Investment Banking, Private Equity, Financial Consulting, or Big 4 M&A Advisory setting.. Work alongside portfolio companies to support teams on strategic initiatives. Investment banking, consulting, private equity and/or venture capital investing experience preferred. Experience working on M&A transactions, company valuations, financial modeling (LBO, DCF, Earnings, IRR), and industry research
Join JPMorgan Chase as a Vice President in the dynamic Risk Management and Compliance (RM&C) Portfolio Management & Data Insights team.. You'll oversee RM&C's substantial technology budget, monitor investment progress, and promote governance on strategic digital transformation initiatives.. You will also play a pivotal role in promoting the governance on strategic digital transformation initiatives (e.g.. Your high degree of initiative, self-direction, and ability to work well under pressure will be key to your success in this role.. Our history spans over 200 years and today we are a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing and asset management.
Comprehensive Knowledge of Banking Operations: Deep understanding of retail banking, corporate banking, investment banking, payments, lending, trade finance, risk management, and compliance.. Regulatory Acumen: Strong grasp of banking regulations, industry standards (e.g., Basel III, PSD2, AML/KYC), and their implications on business operations.. Market Trends and Insights : Awareness of trends like open banking, digital transformation, AI in banking, blockchain, and the rise of fintech disruptors.. Stay abreast of trends, regulations, and disruptions in the banking industry, including fintech innovations, digital banking, open banking, and AI-driven transformations.. Establish and maintain strategic partnerships with key industry players, including fintech companies, software vendors, and regulatory bodies.
Analyst, Investment Banking - SoftwareCountry: United States of AmericaEssential Functions/Responsibility Statements:Provides support to senior bankers.. Performing detailed valuation analysis, including discounted cash flow, trading comparables, transaction comparables and LBO analysis.. Adheres to compliance procedures and internal/operational risk controls in accordance with any and all applicable regulatory standards, requirements and policies.. Work Experience:Experience in Technology Investment Banking, preferably in Software + yearSkills and Abilities:Demonstrated knowledge of corporate finance and investment banking products, with a preference to experience in Software.. Occasional moving and lifting equipment and furniture is required to support onsite and offsite meeting setup and teardown.
As a key member of the Corporate Finance & Strategy team, you will play a pivotal role in shaping the financial health and strategic direction of the company.. This position involves leading financial planning, analysis, and strategy formulation to support the company’s growth objectives and operational efficiency.. Experience: 5 – 7+ years in corporate finance, private equity, investment banking or management consulting preferably technology or education sectors).. Analytical Skills Excel, Power BI, SQL, Tableau. HC is proud to be named one of the Top 200 Workplaces by Star Tribune in 2018, 2019, 2021, 2023 and 2024.
We are seeking a skilled and experienced hands-on Director of Finance to join our team.. As the Director of Finance, you will be responsible for managing all financial activities of the company in a hands-on manner, ensuring compliance with accounting standards, and providing accurate and timely financial information to support decision-making processes.. Manage, in a hands-on manner, all aspects of corporate finance, accounting, including financial reporting, budgeting, and forecasting, cash and investment management, HR including 401K and benefits administration, risk management, compliance and regulatory reporting.. - Prepare monthly financial close, financial statements and regulatory reporting. - Solid understanding of corporate accounting principles and regulatory reporting requirements
From actionable ideas to highly tailored financing solutions, M&A advice and a strong line-up of capital markets and treasury services, CIBC teams can provide the capabilities the clients need to help capitalize on opportunities and manage risk.. CIBC U.S. Middle Market Investment Banking advises private equity funds, entrepreneurs, and small publicly traded companies on mergers and acquisitions, private debt, equity financings, recapitalizations, and other transactions up to $500 million of enterprise value.. The Managing Director ("MDs") will work with Managing Directors, Executive Directors, Directors, Associates and Analysts to contribute to expanding CIBC US Middle Market Investment Banking's presence in industry specific sectors.. Excellent presentation skills evidenced by ability to be a focused, confident and persuasive presenter. Business Development, Debt Management, Equity Management, Financial Modeling, Leadership, Partnership Management, People Management, Portfolio Management, Relationship Management, Risk Management
About the Company - Harmer is assisting a client with an investment team hire.. About the Role - Responsibilities include due diligence, IC preparation, portfolio management, deal sourcing, deal execution, documentation, and reporting.. Requires experience in Investment Banking, Private Equity, Private Credit, Equity Research, Credit Research, financial analysis, consulting, credit analysis, underwriting, or public accounting.
This is an exciting opportunity to contribute to our investment strategies and gain exposure to all stages of private equity investing.. - Perform detailed due diligence, including market research, competitive analysis, and operational assessments. - Present findings and recommendations to senior team members, including Managing Partner and Principal. - Strong financial modeling and Excel skills, with proficiency in valuation techniques (LBO, DCF, and other valuation techniques). - 1-4 years of experience in investment banking, management consulting, corporate finance or related field.
The Senior Internal Audit Auditor will assist the Audit Manager in the preparation of audit documents including audit engagements, planning memorandums, preliminary opening discussion documents, audit programs and wrap up documents in assigned vertical.. As needed, assist department manager and designated employees with: The audit planning process, including announcement memo, audit scope and planning, opening meeting, and work paper assignments under the direction of Lead/Senior Auditor and management.. Five years’ experience with focus on one of the following audit areas dependent on assigned specialty - Financial Audits, Treasury Audits, Risk Management Audits, BSA Compliance, Corporate Services, Mortgage Lending, Retail Banking, or Commercial Lending.. CIA, CRCM, CFE, CAMS, CPA, CRMA, or CICA certification preferred.. Comprehensive knowledge of banking, accounting, and internal controls and the ability to apply knowledge in an audit function.
Summary:Provides financial analysis and prepares internal and external financial reports by compiling information from various sources including operating and custodial banks, bond trustees, investment managers and credit card merchant and gateway systems.. Assists Treasurer, Assistant Director of Finance, Controllers, and corporate finance staff in the preparation of annual audited financial statements, related schedules, and notes.. Maintains, updates, and prepares bond financing, compliance analyses, and reports that support pre- and post-issuance of tax-exempt debt.. Prepares daily cash position analysis for MHS. Ensures all receipts and disbursements handed in the Corporate Finance Department are properly disbursed from or deposited into the appropriate accounts and/or lockboxes.. Must be adept at accessing and manipulating financial data from banking, credit card, investment management and custodian platforms to create reports and reconcile transactions.
The Senior Managing Director of Regulatory Reporting will oversee the bank’s regulatory reporting functions, ensuring compliance, accuracy, and efficiency.. Establish and maintain robust internal controls over regulatory reporting processes, including data collection, validation, reconciliation, and reporting workflows.. Collaborate with Finance, Treasury, Risk Management, IT, and Compliance teams to align regulatory reporting with broader business operations and strategic initiatives.. Strong understanding of liquidity risk, capital adequacy, stress testing, and other regulatory frameworks (e.g., Dodd-Frank, Basel III).. Proficiency in regulatory reporting systems, data management tools, and advanced Excel; SQL or data analytics expertise is an advantage.