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.
Standish Compliance Services, LLC (Standish Compliance) is comprised of a team of former SEC regulators, seasoned private fund experts, certified AML/KYC specialists, IT-proficient staff, and professional compliance consultants.. We serve as an extension of our clients’ in-house compliance team to provide the regulatory and compliance expertise firms need and that institutional LPs and regulators expect.. Our clients include private equity funds, real-asset funds, hedge funds, venture capital funds, real estate funds, oil and gas funds, other alternative investment funds, and select family offices and private wealth managers.. The Compliance Officer will train or oversee Compliance Associates and Senior Compliance Associates in Code of Ethics Administration and the preparation and filing of all applicable regulatory filings, including Form ADV, Form PF, Form D, Blue Sky Filings, Form 13F, Form 13H, Form 13D/G, and Form NPX.. Potential incentive compensation based on business development & profitability
The Controller will oversee all accounting operations, internal controls, reporting, budgeting, and forecasting.. Lead corporate accounting, financial reporting, and internal controls across multiple retail locations. Extensive accounting experience in a multi-location retail environment (manufactured homes, auto, furniture, consumer goods, etc.). Skilled in financial systems, operational finance, and team leadership. Based in or willing to relocate to Carrollton, TX
Mackenzie Stuart are partnered with a high-growth Healthcare Asset Management company who are looking for a talented Asset Manager to join their team. Partnering with the Chief Investment Officer, you will maintain and strengthen relationships with current and potential capital partners, ensuring effective communication about community performance, growth strategy, and strategic initiatives. Provide support to financial planning and analysis including daily / weekly / monthly, market and company level analysis (including comparison to budget and prior year), and key financial diagnostics. 3-5 years of related experience within finance, asset management, or investment banking. Certification such as CFA (Chartered Financial Analyst) is a plus.
(FP&A/FPNA/Head of Accounting/Controller/CFO/Chief Financial Officer/Regional Finance Officer). From award-winning lounges to premium airport services, we take pride in delivering exceptional comfort, convenience, and care to travelers.. As the senior finance executive for PPG’s USA businesses, the Finance Director serves as the country's head of Finance and Accounting and acts as the primary financial business partner to the country person in charge (PIC) or regional general manager (RGM).. Collaborate with HQ Finance, Global Shared Services (GSC) in Kuala Lumpur, and external auditors to maintain financial compliance.. Familiarity with GASB, FASB, and GFOA standards, as well as federal and state grant accounting regulations.
Job Title: Senior Finance Analyst. A solid understanding of both operational (Opex) and capital (Capex) expenditures is essential.. Develop and evaluate financial business cases, factoring in Opex and Capex investment decisions.. Ability to evaluate financial impact of both Opex and Capex projects.. Exposure to project finance or strategic planning.
is partnering with a client in Dallas (with flexibility for Nashville or remote candidates) in its search for a Senior Manager of Finance to support a high-growth, private equity-backed PPM roll-up platform.. Help build scalable finance systems and processes to support ongoing growth. 6+ years of experience in FP&A, Strategic Finance, or similar roles—preferably in PE-backed, multi-site healthcare services. Prior experience working within a physician group, MSO, or PPM roll-up is a major plus. Familiarity with tools like NetSuite, Adaptive Insights, Tableau/PowerBI, or similar reporting systems
Financial Planning & Analysis (FP&A) Associate | Dallas, TX 🚨. We’re partnering with a private O&G investment management firm with $9B+ in managed assets to find a Financial Planning & Analysis Associate for their growing team in Dallas.. 👤 Reports To : Sr. VP of Finance. Experience from Investment Banking or Real Estate Investment preferred. Bonus if you’ve worked with SQL or Onestream
The Automotive Business Manager is a key leadership role responsible for managing the accounting, financial reporting, and business operations for a dealership group.. The ideal candidate will have experience in dealership accounting and a proven ability to lead high-performing teams in a fast-paced environment.. Minimum 7+ years of accounting/finance experience, with at least 3 years in a dealership controller or business manager role.. Strong knowledge of dealership management systems (e.g., CDK, Reynolds & Reynolds, Dealertrack).. Deep understanding of dealership accounting practices and financial statements.
The Corporate Development & Strategy group is responsible for (1) supporting QCG’s investment and acquisition activity across the U.S. and (2) driving strategic growth initiatives and developments across QCG and its portfolio of industry-leading brands. This role reports to the Vice President of Mergers & Acquisitions and will work closely with a broad range of internal stakeholders, including QCG’s most senior leaders. Manage key aspects of the deal process, coordinating with senior members of the Corporate Development team.. 2-3 years of experience in investment banking, corporate development, private equity, consulting, corporate development, or related roles.. Proficiency in financial modeling, due diligence, and investment analysis using Microsoft Excel and PowerPoint
Key Job Responsibilities:Deal Analysis & Financial Modeling- Conduct financial modeling and valuation analysis for potential mergers, acquisitions, partnerships, and investments.. - Support the CEO's office in optimizing resource allocation and maximizing ROI.Executive Support & Strategic Planning- Work closely with senior leadership to develop business cases and presentations for board meetings and investor discussions.. - Provide data-backed insights to shape strategic initiatives.. Qualifications:Masters degree in Business, Finance, Economics, or a related field (MBA preferred).. 3+ years of experience in business analysis, investment banking, consulting, or corporate strategy in the healthcare sector.
Description : Bank Internal Audit Senior Consultant As an Internal Audit Senior Consultant, you will assist our clients with transforming their governance, embedding risk in their decision-making, and maintaining efficient compliance.. Professional Certification or working toward CPA, CIA, or CISA strongly preferred.. Preferred Knowledge and Skills 3-5 years of experience in the areas of operational internal audit, internal controls assessment, and/or Sox 404 evaluation and testing Prior experience should include progressive responsibilities, including supervising and reviewing the work of others, and project management, including self-management of simultaneous work-streams and responsibilities.. Internal control design and effectiveness understanding Business process flow and flowcharting GAAP financial accounting and SEC Reporting Willingness to travel up to 25% We expect the candidate to uphold Crowe’s values of Care, Trust, and Stewardship.. You will have the chance to meet on a consistent basis with your Career Coach that will guide you in your career goals and aspirations.
Job Details: Audit Manager Dallas, TX Role: 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.. Qualifications: Bachelor's degree in Accounting/Finance or IT required 5+ years of public accounting, internal auditing and/or external auditing CPA, CIA or CISA Certification is required!. 2+ years managing audit teams and projects Working Conditions: 4 Days in Office.
Position Overview:Reporting directly to the CFO, the Financial Analyst will play a crucial role in collecting, reviewing, and analyzing both historical and current financial data.. Develop dynamic financial models to support strategic initiatives.. Assist in budgeting and forecasting activities, ensuring accuracy and alignment with company goals.. Technical Skills: Advanced Excel skills, including financial modeling capabilities.. Systems Knowledge: Experience with ERP systems (financial system implementation a plus); Sage 300 experience preferred.
We are currently seeking a Corporate Treasury Manager to join our team in Dallas, Texas (US-TX), United States (US).. Position Summary:The Treasury Manager will report to a Senior Treasury Director and work across Capital Market and Global Cash Management functions of our global organization.. Support the global foreign exchange risk management program, including analysis, optimization strategy and trade execution.. Working knowledge of SAP, FX All, Bloomberg and FIS Integrity Treasury Management System preferred.. Apply Listen to the story of Employee Voice Annette Barnabas Business Analysis Associate Director India Read more Vanathi Asok Director – Project and Application Services India Read more Swathi Sujir Business Operations Supervisor India Read more Apply Back to search results
A bit about us: Based in Dallas, TX with 6 offices across the country; we are leading the way as the #1 ranked health insurance distributor ion the country!. Recently published and recognized by Forbes, our practice is built on the foundation that our people mean more to us than anything else!. Oversee internal controls and ensure compliance with all applicable accounting policies and procedures.. Manage and mentor a tenured and qualified finance/accounting team, fostering a positive and motivated work environment.. Proven experience leading a finance/accounting team in a company's aggressive growth period.
Overview The Treasury Analyst is responsible for supporting all aspects of treasury operations while providing excellent customer service to all assigned properties and vendors, payment processing support, research assistance and problem resolution for a portfolio of hotels This responsibility includes various banking platforms.. Review daily cash position of all assigned bank accounts and alerts leadership of any cash shortfalls and works to resolve them.. Minimum of three years’ experience in Treasury, preferably in a multi-unit environment.. Mastery of major banking platforms for wires, ACH processing, transaction reporting, exporting data, report creation, stop payments, etc.. Moderate knowledge of Excel software (pivot table, VLOOKUP, etc.)
Experience working with asset manager clients (private equity, hedge funds, fund to funds and/or venture capital) firms is required.. A hybrid between a general tax practice and a hyper-specialized firm, our culture is based on collaboration, innovation, and transparency.. Because when we can identify creative ways to reduce filing turnarounds or streamline compliance work, we're able spend more time conducting impactful business advisory services for our clients.. 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.. For NYC and California, the expected salary range for this position is between
Areas of Interest: Commercial Banking; Relationship Management; Sales. We are looking for a Commercial Relationship Manager with experience in Banking and underwriting middle market clients.. The Relationship Manager IV, Corporate Banking is primarily responsible for making and servicing a wide variety of business and individual loans, both secured and unsecured, which are complex in nature.. A Bachelor's degree in Business or Finance and 5 7 years experience in a commercial lending environment or an equivalent combination of education and experience is required.. Extensive knowledge of commercial lending practices and loan documentation.