Your ability to accelerate impact and make meaningful change for your clients is enabled by our strategic partner ecosystem and our robust technology platforms across the IBM portfolio; including Software and Red Hat. Curiosity and a constant quest for knowledge serve as the foundation to success in IBM Consulting. Professional Expertise with SAP Configuration: Hands-on SAP configuration experience in SAP Treasury, Cash Management, Debt and Investment, In-house Banking of at least 2 end-to-end implementations from project preparation to go-live as Functional Lead Consultant or Solution Architect. SAP Process knowledge: Experience with Treasury and Risk Management, with experience in Debt and Investments processes and workflows.. Experience with SAP S/4HANA: Strong understanding of SAP S/4HANA and its application in client environments & with Artificial Intelligence models and their use in SAP implementation. Familiarity with Cloud Computing Platforms: Including IBM Cloud, AWS, Microsoft Azure, and GCP. Knowledge of Agile methodologies: Hands on experience with project management methodologies like Agile.
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 Audit Manager will oversee and manage audit engagements for a diverse portfolio of clients in various industries, including real estate, construction, agribusiness, and manufacturing.. Mentor and train junior audit staff, providing guidance and support in their professional development.. Strong knowledge of auditing standards and practices, particularly in real estate, construction, agribusiness, and manufacturing.. For this position, you must be currently authorized to work in the United States without the need for sponsorship for a non-immigrant visa.. CyberCoders will consider qualified applicants with criminal histories in a manner consistent with the requirements of applicable state and local law, including but not limited to the Los Angeles County Fair Chance Ordinance, the San Francisco Fair Chance Ordinance, and the California Fair Chance Act. CyberCoders is committed to working with and providing reasonable accommodation to individuals with physical and mental disabilities.
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
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
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
These individuals handle financial analysis, budgeting, forecasting, and risk management.. Your ability to develop and sustain high performing, diverse, and inclusive teams, and your commitment to excellence, contributes to the success of our Firm. Examples of the skills, knowledge, and experiences you need to lead and deliver value at this level include but are not limited to: Craft and convey clear, impactful and engaging messages that tell a holistic story.. Model and reinforce professional and technical standards (e.g. refer to specific PwC tax and audit guidance), the Firm's code of conduct, and independence requirements.. As a Senior Manager, Corporate Development, you will play a key role in shaping the strategic growth of the firm through M&A and investments.. For only those qualified applicants that are impacted by the Los Angeles County Fair Chance Ordinance for Employers, the Los Angeles' Fair Chance Initiative for Hiring Ordinance, the San Francisco Fair Chance Ordinance, San Diego County Fair Chance Ordinance, and the California Fair Chance Act, where applicable, arrest or conviction records will be considered for Employment in accordance with these laws.
This position demands strong treasury operations experience, leadership in financial environments, and the ability to drive cross-functional projects.. Strong knowledge of global banking operations, foreign exchange, and insurance.. Develop and monitor capital structures, strategic finance initiatives, and complete special projects.. Enhance cash flow forecasting with FP&A. Risk Management: Manage foreign exchange and interest rate risks through hedging, share repurchase, and equipment leasing.. Create and track treasury reporting dashboards and KPIs. Ensure the development and presentation of comprehensive reports on liquidity and cash management metrics to executives and the Board of Directors.
As 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.. Support day-to-day Treasury operations including short term cash forecasting. BA/BS degree in Finance, Business, or Economics (or a related discipline) is required; MBA preferred, CTP (nice to have). Headquartered in Scottsdale, Arizona, Taylor Morrison Home Corporation operates in the U.S. under the Taylor Morrison and Darling Homes brands.. Darling Homes serves move-up and luxury homebuyers in Texas.
The Commercial Credit Officer (CCO) is a highly skilled resource, providing expert level advisory guidance in the most complex, integrated debt capital solutions for commercial banking clients. Products include lines of credit, term loans, real estate loans, and syndicated loans. The CO maintains knowledge of other BofA products including Investment Banking and Treasury Management that have credit exposure, and leverages product expertise to deliver the best possible and optimally integrated strategic solution for the client or prospect. This role reports to the Commercial Credit Manager or Executive and will be aligned to an Underwriting Team that supports the market. Experience in financial analysis, structuring, underwriting and portfolio management
Our Card Lending Services Team has an excellent opportunity for an individual with proven commercial underwriting abilities.. As a Credit Ops Analyst I-Commercial Credit Card Lending within Card Lending Services, you will review and underwrite existing commercial credit requests along with focusing on credit quality and risk assessment.. Job Responsibilities: Perform spreading of business financial statements/tax returns, perform ratio analysis, complete risk assessment and make sound credit decisions and recommendations via written and verbal presentations Execute and support recommendations when challenged and in negotiating counteroffers, where appropriate Perform underwriting commercial requests for lines of moderate to large size and complexity with limited guidance required from immediate manager.. Proficient in credit/lending transactions and analytical skill sufficient to enable independent judgement Perform investigations, recommend and initiate process improvements Perform high line review on business card portfolio including CL, J&S and PL accounts.. Perform portfolio management responsibilities to include proactive identification of credit trends and weaknesses, completion of periodic and annual credit reviews and initiating collections activity in connection with overall business relationship management Complete commercial credit analysis to determine credit worthiness and adjusts credit limits accordingly.
Description The Credit Officer will provide analytical and underwriting support for MidFirst Private Banking.. Loan underwriting encompasses the following: Financial analysis of the borrowers and guarantors including personal and business tax returns, financial statements and other documents; Collateral analysis; Loan structure and documentation; Completion of credit memorandum or similar approval documents.. Minimum of 3 years of experience in private bank, commercial credit analysis, financial analysis or similar related functions. Some experience in mortgage underwriting may be considered. Experience with Moody's RiskAnalyst and Buker Taxanalysis (or comparable analytical software) is preferred
Perform basic pre-qualification assessment and analysis of financial condition and risk of financing requests within framework of Bank credit culture and current economic and industry trends.. Gather all information necessary to present a financing request to senior management or Loan Committee for approval; meet with new/potential customers; visit sites of loans; negotiate loan terms and conditions; refer and recommend acceptance to the Chief Credit Officer or Loan Committee.. Represent the Bank in various community, civic, and community reinvestment functions to further enhance the Bank's image and develop additional business; assist the Bank in establishing and maintaining market position in the financing arena.. Intermediate to advanced knowledge of general banking operations, including deposit operations, loan administration, treasury management and/or other commercial banking products and services.. Alliance Bank of Arizona, Alliance Association Bank, Bank of Nevada, Bridge Bank, First Independent Bank, and Torrey Pines Bank are divisions of Western Alliance Bank; Member FDIC. AmeriHome Mortgage is a Western Alliance Bank company.
As a tutor on the Varsity Tutors Platform, you’ll have the flexibility to set your own schedule, earn competitive rates, and make a real impact on students’ learning journeys—all from the comfort of your home.. Get paid up to twice per week, ensuring fast and reliable compensation for the tutoring sessions you conduct and invoice.. We handle the logistics—you just invoice for your tutoring sessions, and we take care of payments.. Priority given to those with tutoring experience, teaching experience, and graduate-level education.. Instant Tutoring - Accept on-demand tutoring requests whenever you’re available.
This position demands strong treasury operations experience, leadership in financial environments, and the ability to drive cross-functional projects.. Strong knowledge of global banking operations, foreign exchange, and insurance.. Professional certification in finance or treasury (e.g., CPA, CTP, CFA) is preferred.. Develop and monitor capital structures, strategic finance initiatives, and complete special projects.. Enhance cash flow forecasting with FP&A.Risk Management: Manage foreign exchange and interest rate risks through hedging, share repurchase, and equipment leasing.
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.
Digital Finance Transformation Expertise and proven implementation experience. RPA, Finance Analytics, NLG, Predictive Forecasting models.. Experience in Digital Finance technologies, including RPA, Predictive Forecasting, Finance Analytics, NLG, data visualization.. Over 12 years of experience related to: Accounting / Finance, Financial Due Diligence, Restructuring, Investment Banking or Private Equity. CPA, CFA, MBA, or Master’s Degree Preferred but not Required
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)
Highgate is a premier real estate investment and hospitality management company widely recognized as an innovator in the industry.. Highgate is the dominant player in U.S. gateway markets including New York, Boston, Miami, San Francisco and Honolulu, with a rapidly expanding presence in Europe, Latin America, and the Caribbean.. This position will oversee the Hilton Phoenix Airport and Hampton Inn Phoenix-Airport North.. Ensure hotels’ compliance on all regulatory licenses and permits, leases, contracts, legal agreements, and the proper execution of all operational taxes.. At least 5 or more years of Hospitality Finance/Accounting experience.
When fires break out, everybody grabs a bucket, from the dogs (yes, we are a dog friendly office!). Serve as a strategic advisor to the President & CEO and Board of Directors on financial matters.. Oversee financial aspects of grant management, including budgeting, reporting, and compliance with funder requirements.. Strong knowledge of nonprofit accounting standards, fund accounting, and grant compliance.. Proficiency in financial software (e.g., QuickBooks, Sage Intacct, or similar).