Bringing together traditional and alternative investments, Goldman Sachs Asset & Wealth Management provides clients around the world with a dedicated partnership and focus on long-term performance. We extend these global capabilities to the world’s leading corporates, insurance companies, sovereign wealth funds, central banks, financial institutions, pension plans, endowments, foundations, individuals and family offices. This role requires a professional with strong communication skills who has the ability to thrive in a dynamic environment and help successfully increase the sale of liquidity products by connecting with Alternative Investment Managers (Hedge Funds, Private Equity etc). As part of Liquidity Solutions, the Americas Direct Sales Channel delivers comprehensive liquidity offerings to treasury teams at Corporations, Hedge Funds, Private Equity, VCs and Public Institutions of all sizes. Minimum of 5-7+ years of relevant sales experience or past experience in a treasury related function (Prime Brokerage, Portfolio Finance, FP&A, Controller, Treasury Management/Associate, Capital Markets)
The team collectively has managed over $10 billion in capital across all asset classes globally, with particular expertise in alternative investments (hedge funds, private equity, co-investments, direct investments, etc. The individual will work in a team environment to source and perform due diligence on private equity, venture capital, energy, credit and other private market strategies.. Work with the investment team to manage a large institutional investment portfolio with significant exposure to alternative investments.. Lead due diligence on private market investment opportunities including financial modeling, valuation analysis, track record analysis, attribution analysis, conducting reference calls, and other required analyses.. Significant experience with MS Excel, Outlook and Power Point; exposure to investment analysis software (e.g., Bloomberg, FactSet, Burgiss, Caissa, etc.)
Digital Finance Transformation Expertise and proven implementation experience.. RPA, Finance Analytics, NLG, Predictive Forecasting models. Experience in Digital Finance technologies, including RPA, Predictive Forecasting, Finance Analytics, NLG, data visualization. Over 12 years of experience related to: Accounting / Finance, Financial Due Diligence, Restructuring, Investment Banking or Private Equity.. CPA, CFA, MBA, or Master’s Degree Preferred but not Required
Our client, a thriving Chicago boutique law firm with a strong middle-market client base, has an active need for a corporate attorney (3+ yrs) to join as a senior associate or partner, depending on level of experience.. This busy practice represents clients in business structuring and formation, mergers and acquisitions, private equity and venture capital financing, securities offerings and compliance, corporate finance, and general corporate and business law matters.. Represent clients, including start-ups, middle market companies, private equity funds, hedge funds, and private investors. Advise clients on mergers and acquisitions, private equity and venture capital transactions, joint ventures, commercial contracting, and general corporate matters. 3 or more years of corporate transactions experience, including M&A, private equity, venture capital, joint ventures, private placements, and commercial contracts
10 years of experience in management consulting, sales operations, business strategy, investment banking, venture capital, private equity, or corporate advisory experience, or 8 years of experience with an advanced degree.. 4 years of experience in advertising, consultative sales, business development, or a digital media environment.. In this role, you will lead the Strategy & Operations team within the Americas LCS Product Go-To-Market team, partnering closely with regional sales leadership, Global Product Solutions, Ads Finance, and fellow GTM teams.. You will act as a critical thought partner to Americas LCS leadership for your domain areas by bringing strategic clarity to ambiguous challenges, uncovering business insights, surfacing forward looking for opportunities to strengthen in market activation and synthesizing emerging product trends in the region.. Partner with peer teams in Product Go-to-Market to develop a cohesive, cross-product Go-to-Market strategy for Americas LCS.
The position is responsible for the ongoing portfolio management and monitoring of Bank of America's Global Leasing Corporate, Commercial, Middle Market, Business Banking, Healthcare, Leveraged Finance, and Global Corporate Aircraft portfolio.. The Leasing Credit Officer II (LCO) will determine appropriate obligor and facility risk ratings through ongoing review of client financial statements, covenant compliance, monitoring of news articles and other early warning alerts, as well as through interaction with Risk Management Officers, Marketing Officers, SAG Officers, Legal, Equipment Management Officers and Credit Underwriting Officers.. 5+ years experience as a credit officer in the commercial banking, leasing, or finance industry. Proficient commercial credit or leasing underwriting or portfolio management experience. Proficient credit and secured equipment finance knowledge
CLA is a top 10 national professional services firm where our purpose is to create opportunities every day, for our clients, our people, and our communities through industry-focused wealth advisory, digital, audit, tax, consulting, and outsourcing services.. CLA is seeking a Managing Director of Investment Banking to lead our investment banking team in our office in Minneapolis, MN, Chicago, IL, or Oak Brook, IL. This role leads and oversees the investment banking at CLA, driving strategic initiatives, managing client relationships, and ensuring the successful execution of transactions.. Lead and manage the investment banking team, providing strategic direction and guidance.. Oversee the execution of mergers and acquisitions, capital raising, and other financial transactions.. FINRA Series 24 license
The Senior Associate will play a key role within Gray Capital, an investment fund with interests in real estate, private equity, and venture.. You will report to the Managing Partner of Gray Capital and will be an integral part to the growth of the business with a path to growing responsibility.. Work directly with the managing partner in vetting/tracking potential acquisition candidates and strategic investments candidates.. Five to ten years of post-undergraduate work experience in management consulting, investment banking, private equity, real estate, venture, or corporate development.. Ability to travel as needed and able to work both downtown Chicago and potentially other offices/projects across the country.
About the Job: As a Senior Consultant at Capco, you will play an essential role in cybersecurity consulting engagements, working directly with clients on transformative projects within Investment Banking, Retail Banking, Wealth Management, and Insurance sectors.. You will collaborate with industry leaders, gaining valuable insights and experience as our practice continues to grow.. What You’ll Get to Do: Design and develop security policies, standards and procedures across various domains (e.g., Resilience, Data Security, IT Asset Management Governance, Digital Trust, IAM, Cloud Security, Application Security, etc.)
5 years of Private Equity, Investment Banking, Consulting, or Finance and Accounting experience. IndustriesVenture Capital and Private Equity Principals and Fundraising. Investor Relations Associate/Sr. AssociateInvestor Relations Associate - Alternative Asset Manager in Chicago. Investor Relations Associate - Alternative Asset Manager. Operations Associate, Portfolio AdministrationAnalyst, Investor Relations - Wealth Management SolutionsAssociate, Portfolio Valuation and Fund Advisory Services – Multiple Locations
Minimum of 5 or more years of relevant work experience in management consulting, corporate strategy investment banking, corporate development, private equity, venture capital.. 2 or more years prior work experience at a top strategy consulting firm - McKinsey, BCG, Bain. Experience in payments, risk insights, digital identity, banking, or fintech space.. Healthcare Coverage-Competitive medical (PPO/HDHP), dental, and vision plans as well as company contributions to your Health Savings Account (HSA) or pre-tax savings through flexible spending accounts (FSA) for commuting, health & dependent care expenses.. Maven Family Planning - provides support through your Parenting journey including egg freezing, fertility, adoption, surrogacy, pregnancy, postpartum, early pediatrics, and returning to work.
Through our four business groups, Motorparts, Ride Performance, Clean Air and Powertrain, DRiV is driving advancements in global mobility by delivering technology solutions for diversified global markets, including light vehicle, commercial truck, off-highway, industrial, motorsport and the aftermarket.. Supports all core financial planning and analysis processes to ensure predictability, accountability and high performance inside the Treasury Department.. Consolidation and analysis of FX & Commodity exposures. Using factoring and SCF as key tools to manage working capital, proactively work with the different Business Units to identify opportunities to manage.. Proficiency with Microsoft suite, HFM (Hyperion Financial Management) and SAP
The role is responsible for developing and maintaining policies and procedures relating to treasury activities; establishing and managing debt agreements and key external relationships, with key areas of focus including optimizing working capital;, short and long term cash forecasting and maximization, managing foreign exchange and interest rate risk, and insurable risk management.. Manage all treasury operations globally, with support of legal entity Finance teams as appropriate, including developing and implementing treasury policies and procedures, compliance, and internal controls. Evaluation and interpretation of new and ongoing Debt agreements, including maintaining and reporting on covenant compliance (bank reporting and forecasting).. Work closely with the CFO, VP Finance, and global finance function on financial planning, forecasting, operations, capital, covenant compliance analysis, tax planning, and making presentations to the Board of Directors, Senior Management, and external stakeholders.. Direct financial risk management for the company, including Global insurance programs, foreign exchange and interest rate risk.
As a member of the Global Sales Strategy and Operations team, you’ll be responsible for overall productivity and effectiveness of the sales organization, partnering closely with senior sales leadership and the broader sales team to provide insights and analysis on core business performance metrics and drive key strategic sales initiatives.. Partner with key cross-functional stakeholders, including but not limited to Marketing, Finance & Strategy, Data Science, Seller Systems, and Strategic Operations to streamline and optimize our internal processes and run-the-business and planning deliverables (Stripe Rhythm of Business: Weekly Business Reviews, Monthly Business Reviews, Quarterly Business Reviews).. Support Sales Strategy and Operations colleagues by standardizing global and regional common process that is currently decentralized. Has 7+ years of sales, strategy and operations experience in a high-tech growth environment, or operational experience in investment banking or management consulting or private equity or venture capital, or business insights / analytics roles. Office-assigned Stripes spend at least 50% of the time in a given month in their local office or with users.
We innovate in the next generation electric vehicle and energy storage technologies (lithium batteries and related systems) with the aim to accelerate electrified transportation and achieve sustainable development.. We are looking for talented individuals to join our dynamic team as we continue to grow and contribute to the green energy revolution.. The Treasury Manager will oversee Gotion's treasury operations, ensuring financial stability, optimizing liquidity, and managing risk.. Cash Management & Forecasting Oversee daily cash flow, liquidity planning, and working capital optimization.. Project Finance Structure and execute project financing strategies for large-scale manufacturing initiatives, including debt and equity financing.
What Corporate Development Management contributes to Cardinal Health. The Corporate Development team is responsible for providing leadership, direction, and expertise to execute Cardinal Healths growth and business strategies through mergers, acquisitions, divestitures, joint ventures and other strategic transactions.. Deal Approval : Support communications with Corporate CEO, CFO, Segment CEOs and CFOs, Chief Accounting Officer, Treasurer, Business Unit GMs and other members of Cardinal Health leadership.. Compliance and Governance : Ensure compliance with all legal, regulatory and Cardinal Health requirements throughout the M&A process.. 3+ years experience in corporate development, investment banking, private equity, venture capital, strategy, finance, or accounting, preferred
The Compliance Program Manager, Enterprise Risk Management (ERM) plays a key role in supporting Medline's risk management strategy by identifying, assessing, and mitigating risks that could impact the organization's strategic, operational, and financial objectives.. Participate in cross-department risk committees and working groups to ensure a unified approach to enterprise risk management.. At least 5 years of experience; ideally in enterprise risk management, compliance, finance, or audit.. In depth understanding of enterprise risk management processes and principles such as risk identification, analysis, evaluation, risk treatment and monitoring activities.. Medline Industries, LP, and its subsidiaries, offer a competitive total rewards package, continuing education & training, and tremendous potential with a growing worldwide organization.
The Alden Network - Title: Audit and Compliance Analyst. Hiring Manager: VP of Internal Audit & Finance Compliance. Perform walkthroughs of processes and test the design and effectiveness of internal controls.. REQUIRED Undergraduate degree in accounting, business, information technology, management information systems, or a related field.. CPA, CFA, or any other related professional license is a plus.
We are partnering with a global industry leader headquartered in the Chicago area to identify an Associate Director of Investor Relations. This confidential opportunity is ideal for a seasoned finance professional with a strong understanding of capital markets and a track record of managing public company investor relations. Prior experience in equity research, investment banking, FP&A, corporate finance, or corporate strategy preferred.. Managing Director, Performance Improvement Business Development Director for Retail Greater Chicago Area $120,000.00-$150,000.00 1 week ago.. Managing Director, Investment Banking
LaSalle Network has partnered with a fast-growing, industry-leading manufacturing company located in the heart of downtown Chicago to identify a. This is a high-impact role for a hands-on finance professional who thrives in fast-paced environments and is ready to take ownership of complex treasury operations.. Advanced Excel and experience with treasury management systems (TMS). LaSalle Network is the leading provider of direct hire and temporary staffing services.. LaSalle Network is the premier staffing and recruiting firm, earning over 100 culture, revenue and industry-based awards from major publications and having its company experts regularly contribute insights on retention strategies, hiring trends and hiring challenges, and more to national news outlets.