Job Title: Portfolio Trader and Investment Associate. Cantor Fitzgerald & Co. is a preeminent investment bank serving more than 5,000 institutional clients around the world, recognized for its strengths in fixed income and equity capital markets, investment banking, SPAC underwriting, PIPE placements, commercial real estate, and for its global distribution platform.. Capitalizing on the firm’s financial acumen and technology prowess, Cantor’s portfolio of businesses also includes Prime Brokerage, Asset Management, and other businesses and ventures.. Daily trade settlement and coordination with asset custodians. Assists with development and completion of quantitative research projects
Knowledge of banking operations, financial principles, and regulations.. The Banking Ops Specialist III coordinates the day-to-day operations of consumer and commercial banking.. Assists Wealth Management Advisors, Infinity and Loan Officers to process multi-channel inbound and outbound leads.. Verifies transactions in CRT/PC and balances general ledger accounts.. Reviews the efficiency of standard operating procedures in terms of performance improvement.
We are seeking a highly motivated and detail-oriented Distressed Debt Sourcing Analyst to join our investment team. Sourcing Distressed Debt Opportunities & Pipeline Management: Identify and evaluate distressed debt or real estate investment opportunities, including residential, CRE and consumer loans. Building & Maintaining Relationships: Support senior members to develop and maintain relationships with key stakeholders in the distressed debt and restructuring community, including investment banks, financial advisors, law firms, and distressed asset managers. Investment Analysis & Due Diligence: Perform preliminary analysis on distressed debt opportunities (for the firm’s debt for yield and debt for equity strategies), assessing the credit profile, risk, and recovery potential. 1-3 years of experience in investment banking, distressed debt, restructuring, or credit analysis
Leading global investment advisor is seeking a Senior Accounting Manager to join the team in their Dallas office (hybrid working). This is a great opportunity for someone with a background in both public accounting and in industry, who holds a CPA license. Key accounting functions including financial reporting, cash flow management, expense allocations, audit and tax filing. Implement and maintain a strong system of internal controls, to ensure overall compliance with accounting standards and regulatory requirements. 10+ years of experience, ideally focusing on private equity, real estate or investment management
CPG & Associates has been retained by a Transportation client that is interested in hiring a talented Bilingual ENGLISH / SPANISH Senior FP&A Analyst who can take ownership of the company's budgeting, forecasting, financial modeling, and business performance analysis to support strategic decision-making.. The Senior FP&A candidate reports directly to the CFO, and works closely with the Controller.. Conduct variance analysis: investigate and explain budget/forecast differences.. Support strategic initiatives with financial analysis.. Bachelor's degree or equivalent in Finance or Accounting
This position leads the planning, implementation, and execution of IT risk management and compliance initiatives, ensuring that organizational objectives are met within defined timelines, budgets, and regulatory frameworks all while aligning IT risk and compliance efforts, fostering strong governance, and driving continuous improvement in risk management processes.. Key responsibilities include overseeing risk assessments, governance frameworks, compliance audits, integration of risk mitigation strategies, and metrics tracking as well as managing collaboration within IT and between IT and other departments, streamlining compliance processes, and ensuring alignment with NTTA policies and procedures.. This position is also currently responsible for managing the IT Asset Management (ITAM) program and the ITAM team.. 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.
Constellation Real Estate Partners (“Constellation”) is a commercial real estate firm focused on developing and acquiring logistics properties utilizing a unique combination of ‘old school’ (industry experience & relationships) and ‘new school’ (data science) investment practices.. o Collaborate with regional teams and brokers to set leasing/marketing strategy, drive occupancy, negotiate lease terms, and maintain strong customer relationships.. o Manage Constellation’s national property management provider to establish & ensure Constellation’s standards of excellence in property conditions, customer experience, and financial reporting processes are followed.. o Ensure properties comply with relevant regulatory, legal, and lender requirements. This role can evolve into an SVP or Partner-level position as Constellation Real Estate Partners scales
Addison Group is working with a large publicly traded company in search of a Senior Plant Accountant.. Analyze and report on cost variances, production efficiency, and inventory valuation.. Support budgeting and forecasting processes for plant operations.. Ensure compliance with internal controls, policies, and procedures.. CPA, or CPA Candidate highly preferred
Genpact’s AI Gigafactory, our industry-first accelerator, is an example of how we’re scaling advanced technology solutions to help global enterprises work smarter, grow faster, and transform at scale.. Genpact (NYSE: G) is an advanced technology services and solutions company that delivers lasting value for leading enterprises globally.. Inviting applications for the role of Senior Manager, SOX & Internal Audit. Bachelor's Degree in Accounting, Finance, Management Information Systems, Management Information Systems & Accounting, Economics, Economics and Finance, Economics and Finance & Technology, Business Administration/Management, Engineering, Accounting & Technology, Mathematics, MBA. Certified Public Accountant or Certified Internal Auditor, Master’s in business administration (Finance), Chartered Accountants or Certified Internal Auditor.
This role will work closely with the VP and the rest of the leadership team on activities like Mergers and Acquisitions, Debt Financing, and Capital Fundraising.. Gains understanding and models complex structured finance transactions.. Also responsible for leading the charge in obtaining additional private equity or venture capital partners.. Monitor and report the costs of fixed assets compared to budget and other estimates.. Ability to design and manage data visualization tools, such as Power BI.
Harris & Co. has recently partnered with a globally renowned investment bank to support the expansion of its Valuation Services division.. The firm is seeking to add a Vice President to its team in Dallas, TX. This investment bank is highly regarded for its expertise in capital markets and M&A advisory, and is recognized as one of the premier institutions in the industry.. The ideal candidate will have 7+ years of experience in valuation services, with a strong focus on financial reporting, stock-based compensation, intra-fund transfers, fairness opinions, and valuations for tax and regulatory purposes.. A minimum of 7 years of experience in business valuation, ideally within an accounting, valuation, consulting, or investment banking environment.. Strong understanding of derivatives and advanced financial modeling techniques, particularly within the life sciences and technology sectors, is highly preferred.
AH’s lease provides cash flow stability to investors of SFR properties and build-to-rent communities under a long-term bond-net lease structure with a BBB+ rating.. This position will support strategic initiatives, including acquisitions and property management, while promoting best-in-class asset management practices.. Developing pro-forma and discounted cash flow models for assets in various stages of operation (lease-up, stabilization, repositioning). Collaborate with senior management to present key research results and recommendations. 1-3 years of experience performing similar duties in areas such as real estate investment, capital markets, investment banking, brokerage, etc.
Our client is a $400 million private-equity owned civil engineering firm that provides exceptional services in infrastructure development, with a strong reputation for innovation and excellence.. This role will be pivotal in supporting the VP of Finance by providing critical financial insights, analysis, and forecasting to guide the company's continued growth.. Assist the VP of Finance in creating and managing annual budgets and quarterly forecasts, ensuring accuracy and alignment with company objectives.. Provide financial support to the VP of Finance, assisting with financial decision-making and strategic planning as needed.. 5+ years of experience in Financial Planning & Analysis, with a focus on financial modeling, forecasting, and budgeting.
Businesses benefit from small business loans, treasury and cash management, and merchant services.. Institutional clients can access investment banking, commercial lending, capital markets, and foreign exchange solutions.. The ideal candidate will be proficient in Java 17, Spring Boot 3.0, Angular 14+, JavaScript, PL/SQL (Oracle 19c), and database design & optimization.. Experience with Apache Spark for data processing.. Exposure to containerization and deployment platforms such as OpenShift
Specialists are responsible for supporting Treasury Management Sales and Product team members.. Work closely with Treasury Management Sales, Product and Implementation groups.. Knowledge of commercial banking products, including Treasury Management products and services.. CTP, CCM or AAP preferred.. Headquartered in Memphis, TN, the banking subsidiary First Horizon Bank operates in 12 states across the southern U.S. The Company and its subsidiaries offer commercial, private banking, consumer, small business, wealth and trust management, retail brokerage, capital markets, fixed income, and mortgage banking services.
Project cyber security review and internal audit standards AICPA, IIA IPPF COBIT NIST CSF This role will support independent assessments of the Information Technology and Security environment, risk management, and other objectives as needed.. Owning the audit quality, accuracy of results, and delivery in a timely manner.. Proactively identify regulatory, operational, and/or strategic risks to the organization and bring them to your engagement team.. [Preferred] Experience in Financial Services/Security Industry and working with regulations such as Regulation Systems Compliance and Integrity (Reg SCI).. 2+ years of experience (audit-related) in conducting risk-based Information Technology and Security audits and projects, cyber security reviews, and internal audits.
We are the leading provider of professional services to the middle market globally, our purpose is to instill confidence in a world of change, empowering our clients and people to realize their full potential.. There’s no one like you and that’s why there’s nowhere like RSM. RSM’s Financial Services practice serves a range of clients in the asset management, capital markets, financial institutions, specialty finance and insurance industries.. On this particular team, you’ll work with clients in the asset management industry with a focus on private equity funds, hedge funds and/or FoF clients utilizing top in-field technology and national resources.. As a Tax Manager, you will be responsible for the following job duties, which are centered around three core concepts: Technical & Quality Expertise, People & Talent Management, and Client Service/Business Development.. We support and inspire you to prioritize your wellbeing by delivering personalized, holistic programming for your physical, emotional, financial and community wellbeing.
Reporting directly to the CFO, the Corporate Controller will play a pivotal role in managing the accounting function and ensuring financial accuracy and compliance.. Develop, implement, and maintain a comprehensive system of accounting policies, procedures, and internal controls to mitigate financial risk and ensure the accounting department operates under a model of continuous audit readiness.. Manage and monitor debt covenant compliance and reporting requirements.. Maintain and update the weekly cash flow forecast model to ensure liquidity and financial stability.. Required Education, Experience, and Qualifications: 5+ years of accounting experience at the Controllership level in the commercial equipment finance industry.
As a community bank, we offer comprehensive financial solutions for personal, business, and private banking, treasury management, wealth management and mortgage needs in Nebraska, Iowa, and Texas.. We have 10 convenient full-service branch locations in the Omaha and Council Bluffs as well as full-service branches in the Jordan Creek area of West Des Moines and in two Dallas locations: Uptown and Tollway.. Administer Personal Trust Accounts, Estates, Wealth Management and Retirement Plan Accounts (20%) Administers sophisticated personal trust accounts, guardianship accounts, conservatorship accounts, escrow accounts, estate accounts, tax deferred IRA accounts and investment agency accounts across the whole spectrum of client relationships pursuant to the controlling document, state and federal regulations and client direction.. A Certified Trust Financial Advisor (CTFA) or Certified Financial Provider (CFP) designation strongly preferred.. Minimum of 7-10 years of experience as a Trust Officer or the practice of estate planning and being able to demonstrate increasing levels of business success against expectations in that role required.
Based near Irving, TX this strategic leader will play a pivotal role in driving financial clarity, operational efficiency, and sustainable growth.. Own the budgeting and forecasting processes, ensuring alignment with overall business goals.. Maintain strong internal controls and manage inventory levels for optimal financial performance.. Oversee the General Ledger, Accounts Payable, and Accounts Receivable functions.. Advanced Excel skills (pivot tables, data analysis)