Credit Risk Management Director Country: United States of America Your Journey Starts Here: Santander is a global leader and innovator in the financial services industry.. The Director, Credit Risk Management - Senior Vice President is responsible for risk analysis and independent oversight of credit quality of assigned portfolios.. The Ideal Candidate Will Have: Director level credit risk professional with diversified banking experience, advanced credit analysis and risk management skills, and in-depth knowledge of underwriting and portfolio management practices, policies, and procedures.. Experience in corporate, commercial and specialty lending, including middle market, mid-corporate and specialty portfolios, including ABL, Equipment Finance and Dealer Commercial Services, across diverse industries.. Ability to strategically generate well supported conclusions based on trend analysis, credit risk due diligence performed, understanding of the Banks risk appetite and assessment of managements capabilities.
Define, own and facilitate the project prioritization process across IM, CFO and ERM for projects factoring in available capacity and benefits. Proficiency in project management software including but not limited to MS Project, Smartsheet, and Jira as well as dashboarding and visualization tools (e.g., MicroStrategy, Tableau, PowerBI). Robust knowledge of Investment Management, Corporate Finance, and/or Enterprise Risk Management domains, acumen, processes, and systems as well as interdependencies between end-to-end or shared processes. What to Expect as Part of MassMutual and the Team. MassMutual is an Equal Employment Opportunity employer Minority/Female/Sexual Orientation/Gender Identity/Individual with Disability/Protected Veteran.
We are looking for an Associate to join Ajinomoto Group Ventures, the corporate venture capital arm of the Ajinomoto Group.. As an Associate, you will play a critical role in all aspects of the investment process including sourcing, diligence, execution, and portfolio management.. EDUCATION, CERTIFICATIONS AND EXPERIENCE: 4-7 years of work experience in venture capital, management consulting, or private equity A network in the Boston start up eco-system as well as a good understanding of the co-investor landscape An MBA or business degree is required, or professional experience may be accepted in place of MBA A PhD in material science or healthcare could be a benefit. KNOWLEDGE, SKILLS AND ABILITIES: Hunger and tenacity; relentlessness in working through obstacles to achieve extraordinary results, habit of taking initiative to make things happen Strong understanding of business fundamentals; ability to identify key questions about a potential investment and gain understanding of products, competitive differentiation, category creation, revenue opportunities, growth stages, management teams, etc.. Evaluation Evaluate investment opportunities and conduct due diligence, including, market/customer research, business analysis, financials/modeling, expert calls, memos, etc.
Fund Accounting and Valuation, Senior Associate - Private EquityFund Accounting and Valuation, Senior Associate - Private Equity. Origin Staffing | Head of Recruiting - Accounting, Finance, Transformation, Strategy, Tax & Audit. We are seeking a driven professional at Senior Associate level with desire to work within a Private Equity finance, fund accounting & valuation function.. The position is wide in scope - includes private equity fund accounting, treasury & cash flow management, collaborating with investment team on portfolio company valuations, collaborating with investor relations on presentation materials and fundraising, financial reporting, performance analysis, helping with deal closing projects, coordinating with taxation team and more.. Hybrid (3/2, In office / WFH flexibility), business casual dress code, beautiful professional office space with perks.
ROLE : Vice President– Head of Private Equity Credit Risk, Private Equity/Debt and Structured Products. Undertake credit analysis on a portfolio of private equity/private debt funds utilizing strategies across multiple lending and trading products (including Revolving Credit Facilities, NAV Loans, FX and so forth) for State Street’s direct and custody clients. Preferred 7+ years of counterparty credit risk management in a global financial institution, or related experience, with a broad knowledge of credit and capital market products; Bachelors in Business, Finance, or relevant field.. Critical thinking and analytical skills with the goal of identifying and managing key risks impacting the portfolio, including macroeconomic, market, and counterparty-specific risks. We provide investment servicing, data & analytics, investment research & trading and investment management to institutional clients.
Join to apply for the Head of Corporate Finance/IM/ERM Portfolio role at MassMutual. MassMutual is seeking a highly experienced Senior Program Manager to oversee long-term programs aimed at implementing target operating models and strategic changes across finance, investments, and risk organizations.. Establish program governance, success metrics, and risk management practices. Knowledge of project management methodologies and software (e.g., MS Project, Jira). Experience in Investment Management, Corporate Finance, or Enterprise Risk
Real Estate – Director of Finance $250,000.. We are seeking a director responsible for overseeing the company's Corporate Finance and Fund Accounting teams. Reporting directly to the Chief Financial Officer, this position provides oversight for accounting and reporting related to corporate entities, private equity investments, direct real estate investments, and supports the general accounting functions of the firm's real estate investment funds. Oversee corporate accounting, financial reporting, tax reporting, private equity investments, and real estate investments. Manage involvement in main real estate funds and internal controls work.
The Managing Director will drive our finance data strategy as well as remediating regulatory and audit findings.. Global Treasury Data Strategy and Collaboration: Continuous partnership and collaboration with key functional teams across Liquidity Management, Asset Liability Management, Capital Management and Technology teams to drive improvements in process, controls and operations to better utilize the data to address regulatory obligations, drive operational efficiencies and management insights.. Continuously champion the Data Strategy for Finance and Treasury aligned with organizational goals. 15+ years' experience with Core Corporate Finance, Treasury and Corporate Functions exposure to the General Ledger, Chart Of Account, FP&A, Procurement, Regulatory Reporting, Master Data Management, Treasury and Cash Management Processes. We provide investment servicing, data & analytics, investment research & trading and investment management to institutional clients.
Senior Treasury Manager - Payments page is loaded.. The Treasury Manager will be an integral part of expanding a best-in-class Treasury department with a focus on cash forecasting, bank fees, deposit coverage, risk management, management reporting, SOX Controls, and strategic projects. Work with Treasury Operations and FP&A team to oversee and forecast product volume and cash balances. Work cross-functionally and establish strong working relationships with Treasury Operations, Accounting, Financial Planning & Analysis, and Payments Compliance departments. 3-5 years of experience in Treasury, Finance, or Accounting with sufficient experience in cash forecasting and treasury operations; banking operations knowledge helpful.
The Portfolio Management Vice President will be responsible for performing financial analysis and preparing underwriting documents to support complex, multimillion-dollar corporate credit requests.. Such requests include obtaining initial approval for new credit exposure (i.e., revolving credit facilities, terms loans, leases, foreign exchange products, derivatives products, and other ancillary products) and amendments to existing exposure.. Familiarity with corporate banking products such as Enterprise Commercial Payments ("ECP"), Foreign Exchange ("FX"), Derivatives, etc.. Minimum of five (5) years of experience in corporate credit Portfolio Management/Credit Risk/Relationship Management. Minimum of seven (7) years of experience in corporate credit Portfolio Management/Credit Risk/Relationship Management
As a Lead Credit Officer - Vice President in Commercial and Specialized Industries Risk, you will collaborate with a cross-functional team to deliver credit solutions that support companies' financing needs, including working capital, general corporate purposes, acquisition finance, and dividend recapitalizations. Lead complex and time-sensitive leveraged finance transactions and LBOs, including the negotiation of legal documentation for bilateral, pro-rata, broadly syndicated, and direct lending structures.. Completion of a major corporate or commercial bank credit training program (or equivalent corporate banking/corporate finance experience) with a thorough understanding of bank credit policies and procedures.. Minimum 7 years experience in middle market and mid-corporate lending, including extensive credit analysis, structuring of leveraged finance transactions, and negotiation of loan documentation.. Strong working knowledge of credit agreements and other loan documentation, along with solid negotiation skills
We are seeking an experienced and proactive Director of Treasury to lead the Treasury operation team and work closely with VP Treasurer on FX hedging programs while contributing to the broader Treasury team's strategic goals.. Analyze global currency exposure, develop & execute FX hedging strategies to manage currency risk across our global business; maintain the knowledge on ASC815. Oversee daily cash positioning, investment activities and manage intercompany funding and settlement processes, ensuring accuracy and timely execution of transactions and optimal strategies on maximizing returns in alignment with the company's risk profiles and liquidity requirements.. Partner across the finance and operational teams to ensure we maintain and enhance the Treasury operations (including funding strategies and banking infrastructure), manage Treasury policies, procedures and internal controls.. MBA, CPA, CFA, CTP or equivalent
This work considers legal entity structures, distribution channel, and product results as well as how these impact our capital optimization and operating liquidity.. We are a diverse group of professionals experienced in and responsible for accounting, financial reporting, tax, policy and controls, cash operations, corporate finance data, and systems management as well as wealth management finance activities.. Approves financial results and proactively supports the external audits of MassMutual's non-insurance subsidiaries including venture capital, asset management, bank, technology, and holding companies. Experience with M&A, different types of legal entities, transfer pricing, allocations, and consolidation. Your total compensation package includes either a bonus target or in a sales-focused role a Variable Incentive Compensation component.
Mid-Level Private Equity Debt Finance Associate Attorney. A prominent law firm in Boston, MA is seeking a mid-level associate attorney to join its Private Equity group with a strong emphasis on debt finance transactions.. This position offers a unique opportunity to support high-profile sponsor-side and lender-side transactions involving leveraged buyouts, growth financings, and acquisition-related lending.. Experience practicing in debt finance, with a focus on sponsor or lender representation. Juris Doctor (J.D.) from an accredited law school
Bain Capital manages a range of strategies including private equity, public equity, credit, venture capital, real estate, life sciences, and impact investments.. Headquartered in Boston, Bain Capital has offices in Chicago, Dublin, Guangzhou, Hong Kong, London, Madrid, Mauritius, Melbourne, Mumbai, Munich, New York, Palo Alto, San Francisco, Seoul, Shanghai, Sydney, and Tokyo.. Perform industry-level analyses, including market data research, speaking to industry experts, and attending industry conferences to inform the investment process and provide critical context. 1-3 years experience with an investment management firm, management consulting, investment banking, or venture capital/private equity firm. Since our founding in 1984, we’ve applied our insight and experience to organically expand into several asset classes including private equity, credit, public equity and venture capital.
The Modeling COE is a new function that is being created to accelerate and enhance the significant modeling needs across Corporate Finance that can also be leveraged by Investment Management and Enterprise Risk Management. The Head of Modeling COE will report to the Chief Actuary and will be a key member of the Corporate Actuarial Leadership Team. The Head of Modeling COE will partner closely with Corporate Actuarial and CFO functional leaders (FP&A, Treasury, Controllers, Finance Transformation, etc. Model Outputs: Produce required model output/files to business partners; FP&A development of income statement and balance sheet for the multi-year Financial Plan (annual) and Forecast (quarterly); Treasury development of long-term statutory capital planning; Corporate Actuarial development of value of inforce analysis; ERM development of liquidity risk/stress testing.. Establish effective operating model and clear roles, responsibilities, and expectations in partnership with functional leaders in Corporate Actuarial, CFO (Financial Planning & Analysis, Treasury, Controllers, Finance Transformation, etc. Minimum of 15 years of actuarial experience in financial modeling, pricing, valuation, financial planning, CFT/ALM, asset modeling, and/or in financial risk management
The Associate will play a key role managing a portfolio of high-priority strategic initiatives that will shape the future of Santander US. S/he will be part of a high-performing team with a significant visibility with C-suite. 5+ Years Relevant management consulting, corporate finance, corporate development, business planning, people and project management, and financial modeling experience. 5+ Years Experience in one or a combination of the following: large-scale transformation implementation, project management, business operations or strategic planning in financial services. Investor Relations Analyst – Investor SolutionsAnalyst/Associate - Investor Relations Strategic Capital Group.. Investment Banking Analyst, Technology - Boston / New York CitySenior Investment Analyst, Impact Investing
The Strategy & Transformation group at Waters Corporation supports the Executive Committee (EC) in the development and execution of enterprise strategy.. Consulting background strongly recommended, with at least 1 year of multi-project management (e.g. experienced McKInsey AP / BCG Principal). Prior experience in investment banking, private equity or corporate finance environment preferred. Prior experience in life sciences tools, diagnostics, med device, biopharma or other relevant industries preferred. Waters Corporation (NYSE: WAT), the world's leading specialty measurement company, has pioneered chromatography, mass spectrometry and thermal analysis innovations serving the life, materials
As our global firm grows, we continue to add individuals who seek a collaborative, open-door culture that values diversity and innovative thinking.. This position will be a hybrid work arrangement, which translates to 2-3 days minimum per week in the office.. Assist in drafting and reviewing Compliance responses to due diligence, RFP, and client service requests.. Bachelor of Arts (B.A) or equivalent experience, preferably with a concentration in law, business, finance or accounting.. Industries: Venture Capital and Private Equity Principals
CA’s goal is to help endowments & foundations, pension plans, and ultra-high net worth private clients implement and manage custom investment portfolios that generate outperformance so that they can maximize their impact on the world.. Cambridge Associates delivers a range of services, including outsourced CIO, non-discretionary portfolio management, and investment consulting.. · Stay updated on regulatory changes and assess their impact on regulatory reporting.. · Leverage technology and automation to streamline data operations and workflow tools.. · Experience in regulatory reporting operations, compliance, or a related field.