Senior Financial Analyst – IT Finance. Hybrid 3 days a week in office, 2 days from home.. With over 200 locations and diverse business lines—including banking, mortgage, wealth management, and specialty financing—this is a place where talented individuals can grow and make a difference.. The Senior Financial Analyst – IT Finance plays a critical role in ensuring accurate and timely financial reporting for the IT department.. Manage departmental purchase orders and invoice processing for IT-related expenses
Zurich North America is hiring an Private Equity Underwriter, Middle Markets (Senior or AVP) to join our team!. You will leverage your Private Equity underwriting acumen across risk assessment, exposure evaluation and pricing to generate and maintain a profitable book of new and renewal business.. You will work collaboratively across business units including but not limited to; claims, finance, risk engineering, actuary, and technical underwriting while gaining extensive knowledge in a growing and innovative industry.. As part of a leading global organization, Zurich North America has over 150 years of experience managing risk and supporting resilience.. Today, Zurich North America is a leading provider of commercial property-casualty insurance solutions and a wide range of risk management products and services for businesses and individuals.
Develops and maintains procedures and materials for clients, billing, compliance, complaints, sales enablement, implementation, service and vendor management. JPMorganChase, one of the oldest financial institutions, offers innovative financial solutions to millions of consumers, small businesses and many of the world's most prominent corporate, institutional and government clients under the J.P. Morgan and Chase brands.. 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.. Those in eligible roles may receive commission-based pay and/or discretionary incentive compensation, paid in the form of cash and/or forfeitable equity, awarded in recognition of individual achievements and contributions.. These benefits include comprehensive health care coverage, on-site health and wellness centers, a retirement savings plan, backup childcare, tuition reimbursement, mental health support, financial coaching and more.
This position will be flexible in regards to where the incumbent will be stationed or how their physical work arrangement needs to be (in-office, hybrid or fully remote).. Our investment banking team specializes in providing merger and acquisition, capital raising, and fairness opinions to the owners and boards of middle market family and private equity owned businesses across the United States.. Demonstrated track record of middle market M&A and/or leveraged finance deal origination. Bachelor’s degree in Finance, Accounting or Economics; MBA, CFA, CPA or other advanced degrees/credentials preferred. Prairie Capital Advisors participates in the federal government’s E-Verify program, which confirms employment authorization of all newly hired employees and most existing employees through an electronic database maintained by the Social Security Administration and Department of Homeland Security.
In this leadership role, you will provide strategic tax advisory services to private equity firms and their portfolio companies, focusing on mergers, acquisitions, restructurings, and other complex transactions. Transaction Advisory: Collaborate with cross-functional teams (legal, financial, and operational) to ensure seamless execution of deals while mitigating tax risks. Portfolio Management: Provide ongoing tax advisory services to portfolio companies, including compliance, restructuring, and exit planning. Advanced degree (e.g., JD, LLM, MBA, or MST) preferred. Our clients are enterprises as diverse as sophisticated financial institutions and start-ups, global public firms, and middle-market companies, as well as high net worth individuals, family offices, not-for-profit organizations, and entrepreneurial ventures across a variety of industries.
B. Riley Advisory Services provides a full variety of specialty financial services and solutions that works with lenders, law firms, private equity sponsors and various companies that provides clients with a unique mix of valuation and appraisal services including asset-based lending valuations, restructuring and turnaround management, forensic accounting, litigation support, and transactional support services.. The Asset Manager is responsible for stabilizing, repositioning, and maximizing the value of a distressed portfolio of real estate comprised primarily of multifamily properties.. French Teacher (Possible Open Position for the 2025-2026 School Year). Technology Teacher (Possible Open Position for the 2025-2026 School Year). Investment Banking Associate - Private Capital Markets
A leading Lower Middle Market Private Equity firm focused exclusively on healthcare investing, is looking to build out their Business Development team, by adding a Vice President of Business Development.. The primary responsibility of the Vice President of Business Development will be to lead the firms deal sourcing initiatives, identifying and cultivating investment opportunities within the healthcare sector.. Evaluate inbound deal opportunities and assess their strategic fit and financial viability.. Bachelor's degree in finance, business, healthcare administration, or a related field (MBA preferred).. Proven experience in business development, deal sourcing, or investment banking within the healthcare or life sciences industry.
We’ve earned coverage and awards from TechCrunch, CNBC, Bloomberg, Forbes, Business Insider, PYMNTS, American Banker, LendIt, and have been named to the Forbes Fintech 50 list for the last three years. As the Strategic Finance Lead, you will report to our VP of Finance and be responsible for providing strategic and tactical financial planning and analytical support across the entire business. Lead efforts to build a data-driven culture by providing real-time insights and actionable intelligence across the business, leveraging financial, operational, and market data. 2+ years of investment banking or management consulting experience is strongly preferred. High proficiency in Microsoft Excel, Google Sheets, and experience with BI tools such as Metabase, Tableau, etc.
All our positions are subject to Section 19 of the Federal Deposit Insurance Act. Our applicants go through a background check, and we follow all applicable local laws, including the Los Angeles County Fair Chance Hiring Ordinance (LA County Fair Chance). Get notified about new Financial Consultant jobs in Riverwoods, IL. Financial Analysis Consultant - Chicago, IL (Hybrid)Asset & Wealth Management, Liquidity Solutions, Regional Consultant, Associate - Chicago.. Financial Analysis Senior Consultant - Chicago, IL (Hybrid)Asset and Wealth Management, Asset Management, Client Solutions Group, Retail Alternatives, Central Plains/Mid-West Regions - Vice President.. J.P. Morgan Wealth Management National Branch Personal Advisor - Chicago
Our client, a diversified developer, manufacturer, and marketer of food flavorings and ingredients, serving both sweet and savory end markets is searching for a highly skilled and dynamic Pricing and Financial Planning & Analysis (FP&A) Senior Analyst to join their growing finance team.. Assist in leading the annual strategic planning and budgeting processes and ongoing financial forecasting to ensure alignment with corporate goals and objectives. Bachelor's degree, preferably with a focus on finance, accounting, engineering, or related field of study; MBA or other relevant Master's degree preferred. Self-motivated and highly-driven; pro-active, hands-on strategic thinker; prior experience in fast-paced and high attention to detail environments (e.g. investment banking, consulting, private equity) are also preferred. Computer Skills: Advanced Microsoft Office (including Excel, PowerPoint, Power BI); technology savvy with "hands on" experience with ERP and MIS/reporting systems; prior experience with ERP software provider, Sage X3, a plus
The Regulatory Reporting Specialist ensures the completion of the Property and Casualty Statistical reporting and other assigned data reports to the jurisdiction requesting the report or statistical agent used by the company.. Basic knowledge of manipulating large datasets using SQL or Snowflake.. BWS is a leading wealth solutions provider, focused on securing the financial futures of individuals and institutions through a range of wealth protection and retirement services, and tailored capital solutions.. Workplace policies that support employee well-being include flex time and floating holidays.. In addition to traditional health and wellness plans, benefits include dental, disability, life insurance, medical, and vision insurance, matching 401(k) retirement savings, generous paid time off (21 days of PTO, 11 paid company holidays, 3 floating holidays and a paid voluntary day), paid caregiver and parental leave, paid bereavement, jury duty/court appearances, and military (up to 14 days) leave, employee assistance program (EAP), and an array of voluntary benefits.
Pay: $37 Hourly We are a national staffing firm and are currently seeking a Treasury Analyst Know Your Customer (KYC) for a prominent SaaS client of ours.. Details for the position are as follows: Job Description: As the primary contact for daily Treasury operations within the business unit, responsibilities will encompass coordinating Know-Your Customer (KYC) banking documentation, signatory management, compliance with SOX regulations, Management of Global Bank Portals, FBAR Reporting, GL Bank Reconciliation reporting, M&A integration of bank accounts BAM tool utilization, and ad-hoc related tasks.. Maintain Bank Account Management tool (BAM) on Salesforce including data entry and management of all banking information, updating the dashboard, reconciling reports, and handling any changes.. Perform inquiries for SOX compliance and generate quarterly and fiscal reports on account opening and closing.. Bachelor's Degree and 2+ years of KYC experience with strong knowledge of SOX compliance, MS Office- Excel, Access, Word and PowerPoint Hybrid: 1 day onsite per week
Job DescriptionWe are seeking a dynamic Business Development Lead to drive revenue growth by building relationships with greenfield Private Equity firms.. The ideal candidate will have a strong understanding of PE investment strategies, excellent relationship-building skills, and a proven track record of developing strategic partnerships within the PE ecosystem.. Qualifications: 3-7+ years of experience in business development, sales, or relationship management within private equity, investment banking, or financial services.. Existing network and relationships within the private equity ecosystem preferred.. Unused balance will carry over each year up to a maximum cap of 112 hours.
Our services include mergers and acquisitions advisory, private funds and capital markets advisory, and valuation and fairness opinions.. With extensive industry knowledge and relationships, timely market intelligence and strategic insights, we forge deep, productive client relationships that endure for decades.. We value diversity, equity and inclusion as a catalyst to foster innovation and creative problem solving, access the best candidates and adapt to a highly dynamic, competitive environment.. We encourage you to read more about our commitment to diversity and Environmental, Social & Governance (ESG) efforts.. employees work in-office Monday through Thursday each week, with the option to work remotely or from the office on Fridays.
Engage with both new and existing partners to deliver best-in-class wealth platforms, ensuring these solutions remain at the forefront of the industry through strategic partnerships and innovation.. Develop digital solutions that facilitate the organization's digital transformation journey, focusing on leveraging technology to improve efficiency, productivity, and customer engagement.. Promote employee engagement and professional development while providing oversight to Performance Management programs to include appropriate goals, distribution of ratings and suitable recognition for advancement.. Due to the financial nature and level of accountability of this position, a credit and criminal background check is required - The Fair Credit Reporting Act requires Sammons Financial Group Companies to notify you that, as a routine part of processing this application for employment, Sammons Financial Group may request a consumer report on you to verify all information contained in this application.. Work Authorization/SponsorshipAt this time, we're not considering candidates that need any type of immigration sponsorship now or in the future or those needing work authorization for this role (This includes, but is not limited to students on F1-OPT, F1-CPT, J-1, etc.)
With the support of the Senior Audit Manager, you will drive risk assessment and audit planning, determining the right audit scope, key risks, and suitable techniques.. You will identify themes, trends, and systemic issues in results, develop high quality audit reports and influence key stakeholders in broader actions in Zurich North America.. Relevant experience including at a Manager or Senior Auditor level e.g. within Internal Audit, Risk Management or Compliance.. As part of a leading global organization, Zurich North America has over 150 years of experience managing risk and supporting resilience.. Today, Zurich North America is a leading provider of commercial property-casualty insurance solutions and a wide range of risk management products and services for businesses and individuals.
Develop, plan, and manage the delivery of reports to the Leadership Team and the Audit Committee, providing an independent assessment of governance processes, risk management practices, or internal controls.. The role will evolve from Manager to Senior Manager based on seniority level achieved.. Contribute to the development of the internal audit plan supporting risk assessment.. Qualified CPA, ACA, ACCA, CIA, CFA, CISA, or equivalent.. Second language such as Spanish, French, German, Czech, Italian, Polish, or Dutch preferred.
Design and implement treasury operations, liquidity tracking, and deposit pricing strategies. Build cross-functional partnerships with finance, lending, IT, and compliance. Hire, train, and develop a high-performing treasury team over 12-18 months. 7+ years in treasury management, deposit ops, or commercial banking operations. Strong grasp of ALM, cash flow modeling, liquidity metrics, and deposit strategy
Stakeholder Relations: Manage relationships with investors, banks, and other financial institutions. Bachelor's degree in Finance, Accounting, Business Administration, or related field. Strong analytical skills and experience in financial modeling, budgeting, and forecasting. Proficiency in financial software and advanced Excel skills. Korean Language Skills: fluent Korean language proficiency in listening, speaking and writing
The Compliance Officer's primary role is to assist the Chief Administrative Officer and Chief Compliance Officer and coordinate with the Operations Team in the day-to-day administration and oversight of the Firms compliance program, including KYC/AML reviews in connection with investor onboarding, code of ethics monitoring and reporting, administering and monitoring the Firms cybersecurity program along with other Firm policies and procedures. Conduct KYC/AML reviews of incoming investors, manage and oversee due diligence follow-up requests in coordination with fund counsel and/or fund administrator. Manage third-party software platforms utilized by the Firm in the administration of its policies and procedures (e.g., KYC/AML, compliance, cybersecurity, and CLM platforms). Working knowledge and understanding of KYC requirements, AML laws and regulations, and applicable Federal Securities Laws concerning private funds (e.g., the Investment Advisers Act of 1940, Investment Company Act of 1940, and Securities Act of 1933). Venture Capital and Private Equity Principals