Depending on qualifications, the position may be offered at the Senior Manager or Director level.. Compliance Management: Oversee all federal, state, and local tax filings; manage relationships with tax authorities and external advisors.. External Relations: Manage partnerships with auditors, consultants, and government entities.. Bachelor’s degree in Accounting, Finance, or a related field (CPA or CMA required).. Background in both public accounting and in-house corporate tax environments is highly valued.
We are seeking a highly motivated and detail-oriented Finance and Strategic Initiatives Manager to join our dynamic organization serving as a key advisor and support to the Chief Financial Officer in driving financial and operational strategies across the organization.. The Finance and Strategic Initiatives Manager reports to the Executive Vice President, Chief Financial Office.. Prepares materials and reports for the CFO’s presentations to the Board, Finance, and Audit Committees.. Develops briefing documents and key talking points for CFO-led meetings and presentations.. Knowledge of: Nonprofit financial management, including Board governance and committee operations; financial reporting, budgeting, and forecasting in a complex organizational structure; strategic financial planning and performance measurement.
Supports NTTA’s overall business through financial reporting, analysis, modeling, research, and ad hoc projects.. About NTTA: NTTA is a political subdivision of Texas created to acquire, construct, maintain and operate toll roads in North Texas.. As a customer-driven organization, NTTA delivers a safe and reliable toll system for millions of customers each year in one of the fastest growing regions in the United States.. NTTA is a vibrant organization with a highly qualified, energized and engaged team focused on achieving Excellence and we are looking for talented individuals to join us.. Our mission: We are committed to providing a safe and reliable toll road system, increase value and mobility options for our customers, operate the Authority in a businesslike manner, protect our bondholders, and partner to meet our region's growing need for transportation infrastructure.
As a leader in the FleetPride (the “Company”) accounting organization, the Director, Corporate Accounting and Financial Reporting will oversee and be responsible for key corporate accounting areas, financial statements, accounting for mergers and acquisitions, evaluating and documenting complex accounting positions, coordination of complex matters with the external audit firm, and the day-to-day oversight of individuals supporting the accounting and reporting processes.. Experience with ERPs required; experience with AS400, Cognos / TM1, SQL and PowerBI considered a plus. Significant mergers and acquisitions accounting and financial reporting experience. Experience with cloud-based financial reporting solutions (e.g., ACTIVE Disclosure, Workiva). Experience with lease accounting software (e.g., Lease Accelerator, Virtual Lease)
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.
Our client develops, builds, and operates utility-scale solar and energy storage projects that support grid resilience and sustainability goals.. This role will be at the center of their project finance, investment analysis, and corporate reporting functions.. 1–3 years of experience in financial analysis, project finance, or investment banking.. Strong modeling skills in Excel; familiarity with renewable energy finance a plus.. Understanding of tax equity, ITC/PTC, and energy incentives under the IRA is a bonus.
The HT Group is partnering with one of our PE-backed, manufacturing clients based in Addison for an immediate Finance Manager opportunity.. Direct Hire – Base salary up to $145K+ 20% bonus/solid benefits/leadership track – Hybrid – Addison, TX HQ. The position reports to the Director of Finance and is instrumental in budgeting, forecasting, reporting, and decision support.. Support initiatives such as pricing strategy, channel expansion, and capacity planning. Experience with SQL, Python, or Power BI is a plus
Within the Global Financial Crimes Division (GFCD), the Head of Trade Finance AML Advisory reports into the Global Head of AML Advisory.. An AML/FCC subject matter expert on Trade Finance, he or she is responsible for advising the Head of Trade Finance AML Advisory, FCC Global Stakeholders and relevant first-line business leaders on issues identifying and managing AML risks posed by MUFG’s trade finance products and practices.. Oversees the timely identification, resolution, and as appropriate, escalation of client or control issues to the Head of Trade Finance AML Advisory.. Knowledge and experience with FATF and Wolfsberg guidance on AML and sanctions related to trade finance.. Knowledge and expertise in banking laws and regulations administered by the Federal Reserve bank, FDIC, OCC and state banking regulators, compliance risk management and regulatory oversight.
SUMMARY The Financial Specialist is responsible for regulatory reporting and will produce and submit multiple regulatory filings in compliance with credit union legal and regulatory requirements, the organization’s policies and procedures, and accepted accounting principles.. Oversees and completes Federal Home Loan Bank and Federal Reserve reporting requirements within the required timelines Manages and maintains the Lease database, ensuring new leases and existing lease amendments are entered and maintained.. Monitors changes in financial and regulatory reporting requirements in the financial services industry and provides feedback and recommendations to finance leadership.. Two years of experience in a Finance position, including experience in regulatory reporting, month-end reporting, budgeting, and financial analysis.. OTHER KNOWLEDGE, SKILLS AND ABILITIESDemonstrated experience using financial reporting software and tools as well as budget software to include but not limited to Prophix Budget Software, and Microsoft Great Plains and Management Reporter.
This position will serve on a team of Regulatory Relations professionals who help manage Comerica's relationships and interactions with its banking regulators (e.g., Federal Reserve, Consumer Financial Protection Bureau ("CFPB"), Texas Department of Banking ("TDB"), and Office of the Comptroller of the Currency ("OCC"), and Federal Deposit Insurance Corporation ("FDIC". Experience in the banking industry, with respect to specific banking businesses or functional areas, such as finance, technology, privacy and cybersecurity, commercial or consumer products, payments and treasury management, and/or wealth management, is preferred.. Experience advising in the financial industry in any one or more of the following areas is preferred: finance, technology, privacy and cybersecurity, commercial or consumer products, payments and treasury management, or wealth management is preferred. Comerica Incorporated (NYSE: CMA) is a financial services company headquartered in Dallas, Texas, and strategically aligned into three major business segments; the Commercial Bank, the Retail Bank, and Wealth Management.. In addition to Texas, Comerica Bank locations can be found in Arizona, California, Florida and Michigan, with select businesses operating in several other states, as well as in Canada and Mexico.
We offer strategies across the alternative investment spectrum, including real estate, private equity and credit, infrastructure, transportation, liquid alternatives and hedge funds.. As a Commercial Mortgage Loan Originator within J.P.. Pro-actively develop, foster and maintain strong regional relationships with owners, operators and developers of institutional quality commercial real estate assets as well as correspondent/brokers, mortgage bankers, and other sources of third-party commercial mortgage loan origination opportunities.. Experienced in all aspects of property valuation, capital markets and financial analysis across all asset types (multifamily, retail, industrial, office, lodging, other).. 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.
Our team helps our clients maximise their available liquidity position and manage financial risk, such as foreign exchange rates, interest rate changes, and commodity price fluctuations, as well as make decisions around funding the core business operations and making investments to increase the value of the organisation to the shareholders.. CPA, CTP or CFA preferred; TMS Vendor Certification. Possessing a systematic understanding of corporate treasury (e.g., global cash management, payments, bank relationships, investments, debt, corporate finance, and currency and commodity hedging);. Implementing Treasury Management Systems and Payment tools including Kyriba, Quantum, Integrity, GTreasury, SAP Treasury, Ion, Trax, High Radius, Bottomline Technologies among others;. e.g. Alteryx, PowerBi, Tableau, Snaplogic and RPA technologies (UiPath, Automation Anywhere, PowerAutomate, etc), and machine learning/Artificial Intelligence;
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.
The Finance & Accounting Professional will work closely with the CFO to drive financial strategy and decision-making.. o Process vendor payments via check, ACH or online. o Ensure effective internal controls are in place to safeguard assets.. o Fuel Sales tax quarterly filing. Education: Bachelor’s degree in finance, Accounting, Economics, or related field; CFA designation preferred.
As an Audit Manager, you will oversee all financial, IT and compliance audits within its internal controls.. Cultivate project-level plans based on risk assessment results.. Communicating results of projects to Senior Management and the Audit Committee of the Board of Directors.. 5+ years of public accounting, internal auditing and/or external auditing. CPA, CIA or CISA Certification is required!
As a leading financial services and healthcare technology company based on revenue, SS&C is headquartered in Windsor, Connecticut, and has 27,000+ employees in 35 countries.. Job DescriptionManager, Private Equity - Real Estate (Controller & Yardi Experience)Locations: San Antonio, TX | HybridWe are seeking an experienced Manager in Private Equity - Real Estate to join our growing Private Markets Accounting team.. The ideal candidate will bring strong technical accounting expertise, controller-level experience, and hands-on knowledge of Yardi software to oversee fund administration, financial reporting, and client service delivery for real estate-focused private equity funds.. You'll be a strategic leader managing teams in (list areas here), driving operational excellence and ensuring compliance with accounting standards (GAAP, IFRS).. SS&C offers excellent benefits including health, dental, 401k plan, tuition and professional development reimbursement plan.
HF Sinclair is seeking a Internal Control Specialist in Dallas, TX who will be paying a key role in the Company's Sarbanes-Oxley (SOX) compliance program and its Internal Controls over Financial Reporting (ICFR).. Participates in the planning and execution of the annual SOX risk assessment process to support the SOX compliance plan.. Assists with broader Accounting, Finance and GRC (governance, risk and compliance) initiatives as they surface.. HF Sinclair Corporation, headquartered in Dallas, Texas, is an independent energy company that produces and markets high-value light products such as gasoline, diesel fuel, jet fuel, renewable diesel and other specialty products.. HF Sinclair provides petroleum product and crude oil transportation, terminalling, storage and throughput services to its refineries and the petroleum industry.
Delivering tailored solutions for middle-market privately owned businesses is at the heart of our organization, and as a Relationship Manager, what you do matters. Job Description The Relationship Manager IV – Commercial Banking is primarily responsible for the sales of various financial products and the servicing of commercial loans to middle-market privately owned businesses. Advanced knowledge of Wealth Management products, Treasury Services, deposit offerings and the other bank services. Managers at all levels practice an open-door policy to encourage candid communication, feedback, and discussion. Job Segment: Relationship Manager, Manager, Bank, Banking, Customer Service, Management, Finance