SRS provides financial reporting, regulatory compliance, and program management services to captive insurance companies. As our Accountant, you will play a crucial role in managing the financial and regulatory affairs of a portfolio of captive insurance companies. Preparation and peer review of mont
The Senior Accountant, Financial Reporting & Analysis supports accounting operations and internal financial reporting through journal entries, reconciliations, variance analysis, recurring reporting, and budgeting support activities. Maintain and update reporting tools, templates, and analytical wor
Join Deloitte's Risk & Brand Protection organization as a Specialist, Risk and Compliance Services, where you will support independence and conflicts processes that help protect our reputation and strengthen client trust. The team Risk & Brand Protection (R&BP) Our reputation starts with youthis bel
Global Financial Crimes Compliance (GFCC) isan organization within Global Risk & Compliance (GRC) and isresponsible for leading the enterprise-wide Anti-Money Laundering, Sanctions, and Anti-Corruption compliance functions. Identify financial risks, opportunities, and optimization strategies through
This role owns the end-to-end preparation and governance of internal and external financial reports, NCUA call report submissions, and GAAP-compliant financial statements — while simultaneously serving as the primary administrator and subject-matter expert for the organization's financial systems
Greenberg Traurig's financial regulatory & compliance practice comprises of more than 80 attorneys throughout the United States and in Latin America, Europe, and Asia. Candidates will have a minimum of 6 years of financial services regulatory and compliance experience (particularly in the areas of b
The Risk Manager role involves providing quality and risk management support throughout the opportunity and engagement lifecycle, including risk consultations to opportunity pursuit teams, reviewing and revising as applicable draft contracts (Statement of Works, Engagement Letters, Change Orders) fo
Under the direction of the National Director, Channel Business Development and in collaboration with practice leadership, and the Chief Business Development Officer, the Director of Business Development, Legal, Compliance & Risk, is responsible for driving, monitoring, and improving sales performanc
Monitor and implement new accounting standards and SEC regulations, ensuring timely adoption and compliance. Establish and enhance financial reporting policies, procedures, and internal controls in compliance with SOX requirements. This is a highly visible leadership role responsible for overseeing
Given the lack of automated systems and lack of automated preliminary decisions by scheduled systems for portfolio loans, you will be responsible to make sound decisions within own lending authority and makes recommendations for loans requiring exception approval authority, based on your own indepen
This role provides legal guidance on regulatory matters, monitors compliance with mortgage lending laws, and assists in developing policies and procedures to mitigate regulatory risk. About this Opportunity The Compliance and Regulatory Attorney is responsible for ensuring the company's mortgage len
MasTec is a leading North American infrastructure engineering and construction company focused primarily on engineering, building, installation, maintenance and upgrade of communications, energy and utility and other infrastructure, such as: wireless, wireline/fiber; power delivery infrastructure, i
Operations Team Leader to oversee a team of Operations Specialists, ensuring effective claims and risk management. The successful candidate will refine processes and procedures, respond to customer inquiries, and lead the team in achieving operational efficiency. Qualified candidates should have a B
The individual will be a key member focused on portfolio analysis, research, and risk management in support of the systematic equities and systematic macro platform. A successful candidate will help discover and leverage insights into risk and alpha drivers of our portfolios. The team's mission is t
Submit a quarterly Regulatory Compliance & Risk Assessment Report, identifying risks, compliance gaps, and corrective action plans. Ensure compliance with DoD, Intelligence Community (IC), and federal acquisition guidelines, conducting periodic risk assessments and governance reviews. Develop and ma
AutoNation is seeking a senior external reporting professional to manage GAAP-based financial reporting, including quarterly and annual SEC filings, MD&A, and footnotes. You will coordinate with Investor Relations, Corporate Accounting, and the audit team to ensure accuracy and regulatory compliance
This position requires managing complex financial transactions, preparing detailed reports, and ensuring compliance with accounting standards. The role also demands strong analytical abilities and proficiency in office software, particularly Excel and Word. Candidates should possess a Bachelor’s d
To qualify for the role you must have A Bachelor's degree and a minimum of 5 years of related work experience; or an advanced degree in tax or law and a minimum of 4 years of related work experience CPA license or a licensed Attorney is required Familiarity with the financial services industry gaine
The role involves supporting the SVP Financial Report & Risk Analyst in financial reporting processes, ensuring compliance, and meeting reporting deadlines. The ideal candidate will hold a Bachelor’s degree and have at least 3 years of experience in financial analysis, preferably in a financial se
Responsible for keeping the Real Estate Risk Manager and/or the Director of Real Estate Risk advised on adverse changes in the risk profile of loans within their assigned portfolio due to changes in financial performance as well as market and industry conditions. Ensures compliance with underwriting