The Keller Group is supporting our Phoenix based client in their search for a Senior Financial Analyst to join their growing finance team. Develop and maintain complex financial models for forecasting, budgeting, and long-term strategic planning. Ensure data integrity and accuracy across financial reporting systems and collaborate with accounting to support month-end close activities. 5+ years of progressive experience in financial analysis, corporate finance, or public accounting. Strong proficiency in Excel and financial modeling; experience with financial systems such as Oracle, SAP, Adaptive Insights, PowerBI or Anaplan is a plus.
The ideal candidate will have a strong understanding of identity and access management (IAM), risk management, and control testing processes.. Collaborate regularly with Schwab Cybersecurity teams, risk partners, and Access Risk & Control (ARC) teams to align on access control strategies and risk mitigation.. Validate identity controls and settings that align with policies and identity governance and administration (IGA) process.. ~ Strong understanding of access control frameworks, IAM principles, and risk management practices.. Familiarity with directory services, Windows and Entra ID/Azure AD, SSO, MFA, zero trust, attribute-based access, and policy and role-based access.
The Wealth Advisor serves as personal relationship manager to Busey Wealth Management clients.. Act as primary relationship manager, managing and developing a designated book of Wealth Management Clients ranging from high-net-worth individuals and families to institutional clients such as foundations and endowments.. Work with and coordinate the efforts of our experienced Investment Team, Financial Planning and Tax Specialists, Estate Planning, Portfolio Management, and Private Client banking services to create comprehensive financial strategies and solutions to support clients.. Wealth Management Services including Investments, financial planning, banking and trust concepts including asset allocation, and basic trust and estate procedures. Busey's Total Rewards include a competitive benefits package offering 401(k) match, profit sharing, employee stock purchase plan, paid time off, medical, dental, vision, company-paid life insurance and long-term disability, supplemental voluntary life insurance, short-term and long-term disability, wellness incentives and an employee assistance program.
Senior SBA Loan Underwriter.. Our client is looking for a Senior SBA Loan Underwriter to join their team!. As a Preferred Lender, the SBA recently ranked our client as the #1 Arizona-based bank over the past 12 months, funding a higher dollar amount of SBA loans than Bank of America and Western Alliance banks. Broad experience in C&I, CRE, SBA lending underwriting highly desired. 5 years in Commercial Banking (e.g., Credit Administration, Commercial Credit Underwriting, Portfolio Management or Commercial lending), required
Love Pool Care is Phoenix's premier, high-end pool service, repair, and renovation company.. The VP of Finance is a senior financial and executive management support role within our high-growth, investor-backed home services platform.. The VP of Finance will work closely with the CEO, investors, and outside advisors to drive business understanding and strategic decision-making.. ● Monthly Financial Statement Preparation: Maintain QuickBooks Online, oversee or perform bookkeeping, ensure GAAP compliance, and enhance management reporting.. ● Treasury Management: Serve as the key point of contact for banks and cash management.
Our client is a rapidly growing, middle-market industrial services business that is PE-owned.. Collaborate with private equity sponsors for exit strategy development and engage effectively with potential buyers or investors. Oversee all treasury operations, incl.. Direct responsibility for accounting, treasury, audit, forecasting, strategic planning, legal, M&A and institutional financing. Transaction Advisory services or investment banking experience
This is an exciting opportunity for an experienced Senior Treasury Manager to join a fast-growing public renewable energy company that’s driving the transition to a more sustainable future.. As the Senior Treasury Manager , you’ll oversee treasury operations, managing liquidity, risk, and compliance across a growing global footprint.. Manage global banking relationships and corporate insurance programs. Bachelor’s degree in Finance, Accounting, or related field; MBA, CFA, or CTP preferred. Expertise in liquidity management, treasury operations, risk insurance, and compliance
Industry: Financial Services / Banking Technology / Treasury Operations. This role is ideal for candidates with experience in treasury management systems (TMS) , ERP integrations , and banking file formats , who can confidently lead cross-functional teams through complex technical implementations.. 5+ years of experience in Treasury Management, ERP integration , or financial systems implementation.. Deep understanding of ERP platforms and treasury operations.. Treasury Management Systems (TMS) integration or implementation consulting
Market research studies are paid engagements Ivy Exec conducts with clients to get feedback on certain topics.. For this study we are looking forBusinessprofessionalsto talk about their opinions and experiences with various merchant services and online payment acceptance solutions and providers.. Industry:Retail, Banking / Investment Banking, Financial Services, Healthcare, Information Technology, Manufacturing, Food & Beverage, Telecommunications & Wireless, Hospitality, Travel & Leisure, Utilities, Media / Entertainment, Accounting. To be respectful of your time, we want to make sure you meet all study requirements.. If you qualify, our team will reach out to you to schedule the interview with our client.
Client: Private Equity-Backed, Multi-Entity Consolidation | ERP: Sage Intacct. We’re seeking an experienced accounting professionals to support a private equity-backed client navigating rapid change and increased reporting demands.. Strong experience with GAAP, consolidation, and Sage Intacct. Familiarity with Sage Intacct or similar ERP (highly preferred). Execute multi-entity roll-ups in Sage Intacct
Join JPMorgan Chase Global Banking as a Client Service Account Manager in the Client Onboarding and Service team.. Identify and address product/service gaps and development opportunities, leveraging the full array of Treasury Services product capabilities.. Flexibility with working hours and the ability to utilize virtual connectivity tools (VDI, Outlook mobile suite, etc.). 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.
Fixed Assets & Capital reporting (CIP review, fixed asset reporting, depreciation calculations) Fixed Assets reporting (CIP, Spending, Capitalizations, Project Closings) CIP Reviews Depreciation calculation & tracking Annual Idle Fixed Assets Review Payroll to GL review/reconciliation Balance Sheet Account Reconciliations Budget/Projections: Responsible for select departments Assists with internal and external audits, as needed.. Assists and supports Operational Excellence and other areas with the calculation of financial impact on opportunities Maintain internal control procedures as well as ensure compliance with SOX Other Responsibilities: Acts as the back-up for the Finance Associate Director, as required.. Frequent interaction with Operations Business Owners for SOX internal controls and spending monitoring to ensure awareness and compliance with internal controls.. Minimum 3 years of Cost Accounting experience with at least 2 years of relevant pharmaceutical manufacturing finance experience.. Ability to set rigorous technical / architectural standards while speaking the language of the business to influence the strategic direction for reporting, analytics, and data quality capabilities.
Description Summary: The SBA Product Business Development Ofc Sr is responsible for marketing a full range of banking services to Small Business Administration (SBA) loan eligible businesses with emphasis on client contact, origination and analysis.. Duties & Responsibilities: Responsible for self sourcing SBA loan origination with emphasis on client contact, origination and analysis.. Typical loan amounts are for $350K - $5MM. Reviews financial statements and supporting documents, structures SBA loan proposals, completes initial analysis, and prepares credit package.. Basic Qualifications: Bachelor's degree or the equivalent of 4 years' SBA lending experience A minimum of 5 years of SBA/Business/Commercial lending experience Preferred Qualifications: Business or Finance degree preferred SBA loan originating experience Familiarity with Commercial loan underwriting systems.. Colleagues in this position are also eligible to participate in an applicable incentive compensation plan.
Job Description SummaryAs a Treasury Manager working for Taylor Morrison, you will be responsible for the planning and execution of all Treasury activities including managing the Company's daily liquidity, cash flow forecast, and ensuring compliance with company audit standards to maximize the protection of the company's cash assets.. In this role, you will be entrusted with the responsibility of managing bank accounts, maintaining financial systems, and overseeing treasury functions.. The ideal candidate for this role has a combination of strong business acumen and technical and operational knowledge to develop and deliver tools enabling informed decision making and driving continuous improvement.
Salary: $30 - $50/hr. This is a remote Analyst role for undergraduate students.. You will complete tasks similar to those of an investment banking, private equity, or hedge fund analyst.. The work will be done over the next 2-3 weeks, asynchronously, and on a project-by-project basis.. This position offers high pay, valuable finance experience, and is an excellent opportunity to boost your resume.
We are hiring now for a Senior Director of Financial Reporting and Technical Accounting in Phoenix, AZ - Join the SMTC Team!. Benefits Highlights:Competitive salary package with 401K and company matchPaid time off (PTO) and paid holidaysTuition reimbursement for professional developmentComprehensive Medical HRA PlanShort-term/Long-term Disability Insurance, and more.. This role oversees all aspects of consolidated financial reporting, technical accounting, internal controls, and system integration.. As a strategic partner to the CFO and VP of Finance and other executive leaders, leads enterprise-wide initiatives to streamline reporting, optimize ERP systems, and drive automation, ensuring SMTC remains agile, compliant, and future-ready.. Ability to focus on complex financial data, review reports, and ensure compliance with regulatory requirements while minimizing errors.
Essential Duties and Responsibilities : Responsible for the enterprise’s liquidity management: (1) accurate and consistent positioning of the cash balance; (2) short-term borrowing and investing decisioning; (3) depository accounts cash concentration; (4) review, approve, and release electronic disbursements; (5) distribute a weekly liquidity snapshot to the management team; and (6) identify opportunities to improve and streamline all liquidity practices.. Assumes the system administrator role for all key applications in the treasury area.. Responsible for the enterprise’s bank account management (BAM): (1) executes and maintains rigid controls over the opening, closing, and service modifications of accounts at various financial institutions; (2) maintains a database of the organization’s accounts including signatories; and (3) negotiates and manages the accounts’ services and fees, including periodic request for proposal (RFP) submittals.. Oversees debt management within the firm: (1) supports debt contract negotiations and renegotiations; (2) recommends and implements monthly prepayment and rollover actions; (3) verifies bank-generated interest payments and submit payment requests; and (4) ensures adherence to the loan contract terms and assists with preparation of the quarterly covenant compliance memo.. CTP certification is strongly preferred.
Director of Treasury & Assistant Treasurer We’re seeking a strategic leader to oversee treasury operations, corporate and strategic finance, and pension and trust management within our Treasury team.. Manage capital structure strategies, including capital formation, structured products, short- and long-term debt management, and cash forecasting.. Oversee cash management, corporate and strategic finance, and the Pension and Trust Management group, including: Chairing the Nuclear Decommissioning Trust Committee.. 1) Oversee the Corporate & Strategic Finance, Treasury Operations, and Pension and Trust Managment functions within Treasury.. Be a trusted adviser to cross-functional business partners on corporate and strategic finance and treasury-related issues.
Enterprise Bank & Trust was founded in the spirit of entrepreneurship and community.. From the small mom-and-pop coffee shop to the large construction company that employs local people, our goal is to help businesses succeed and our communities thrive.. Join us in the pursuit of our mission to guide people to a lifetime of financial success, and enjoy a career filled with professional growth opportunities, interesting colleagues and the satisfaction of supporting our communities.. Skills in commercial credit underwriting, business development, and portfolio management for mid-sized developers and investors.. 5-7 years of Commercial Lending experience preferred.
Model & Analyze - Build dynamic, driver‑based models (ARR, churn, LTV/CAC, pricing, scenario analysis) in Excel/Sheets and specialized tools (e.g., Adaptive, Anaplan).. Elevate Reporting - Design executive dashboards (Looker, Tableau, Power BI) that surface real‑time SaaS metrics, margin trends, and unit economics.. Drive Process Excellence - Streamline month‑end close, integrate systems (ERP, CRM, BI), and institute SOX‑ready controls in partnership with Accounting.. 8+ years in strategic finance, FP&A, investment banking, or private equity-at least 3 years in a high‑growth SaaS or tech environment.. Proficiency with BI tools (Looker, Tableau, Power BI) and ERP/FP&A systems (NetSuite, Adaptive, Anaplan)