Citadel is seeking a highly motivated and experienced Credit Analyst to join our Credit Review team. Stay abreast of regulatory changes and industry best practices related to credit risk management. 7+ years of experience in credit risk management, credit review, or a related field within a financial institution. Proficiency in financial modeling, quantitative analysis, and the use of risk management software/tools (e.g., SAS, R, Excel, SQL). Experience with regulatory reporting and compliance in credit risk management.
The Director, Quantitative Analysis & Financial Modeling will lead the development and management of quantitative models for interest rate, market risk, and liquidity risk.. Conduct market risk stress testing, including scenario design and implementation.. Hands on with tools like Python, R, or MATLAB for modeling and back-testing. Experience working with MBS, TBA hedging, or even Fannie/Freddie guidelines. Demonstrated hands-on experience of A/L system such as QRM, MIAC, Empyrean, Polypath a plus.
They are in need of a finance professional with prior manufacturing experience to join their management team as the Director of Finance reporting to the President.. The Director of Finance will be hands on in managing all financial functions including accounting, budgeting/forecasting, manufacturing costs, cash flow management, risk management, banking and audit relationships.. In addition, the Director of Finance will oversee HR and IT.. Manage all accounting and financial operations, i.e. budgeting, month-end close, forecasting, cash management, profit margins, cost accounting, and risk management.. Strong expertise in costing methods, budgeting, cash flow management and financial reporting.
Job Description Summary: The Financial Business Analyst is responsible for providing business support for VP-Finance and the Field organization.. The Regional Company Business Analyst will assist in Regional Company P&L analysis and trends, budgeting and forecasting, pricing analysis, customer and segment profitability, creates and publicizes monthly and quarterly financial metrics and analytics for the region/areas/districts/operations, operating cost analysis, capital expenditures, acquisition analysis and due diligence, inventory management, cylinder/asset management, certain compliance related activities and other ad hoc projects.. Works closely with the VP-Finance and Division finance support teams to better understand historical financial results, trends and validate forecast assumptions.. Assists with field audit activities regarding internal controls, SOP compliance and SOX compliance, as needed.. Airgas, an Air Liquide Company invites any applicant and/or employee to review the Company’s written Affirmative Action Plan or Policy Statement.
Clay Cove Capital is a real estate-focused private equity firm that specializes in OpCo-PropCo platform investments in the lower middle market. We are hiring a full-time Investment Analyst to support our deal team in underwriting, execution, and asset management. This role is ideal for someone who thrives in a fast-paced environment, wants to contribute meaningfully to a growing investment platform, and is intellectually curious about the intersection of real estate and private equity. Contribute to firm-wide initiatives, including fundraising and strategic planning.. 1–3 years of relevant experience (real estate, investment banking, private equity, consulting, etc.)
LMC is a leading buying group for a network of independent family-owned building material companies across the US. As their buying group, LMC negotiates and facilitates procurement opportunities for the most desired brands in the lumber and building materials industry.. The Supervisor, Rebate Strategy & Credit Analysis oversees all aspects of the collecting, posting and reconciling credits and payments for the National Account Program (NAP), Coop Assistance Program (CAP), ECI, and Advanced Pay operated by LMC. This includes the reconciliation of stockholder accounts on a quarterly and annual basis and managing the communications and reporting to the stockholders along with collections from vendors.. This position requires working in our office Monday through Thursday, with the option to work remotely on Fridays, as well as the first Monday of each month.. Oversee the maintenance of up-to-date accounting records and ensures that purchasing is advised of outdated vendor rebate fact sheets that should be updated on an annual basis.. Prior experience managing rebate programs or working in the building materials industry preferred.
The ideal candidate will be proficient in ARGUS and YARDI, and have hands-on experience across industrial, retail, and office property types.. Implement data management processes, integrating property, market, and financial data from multiple sources (including YARDI and ARGUS) to ensure data integrity and accessibility for analytics and reporting.. Advanced proficiency in ARGUS and YARDI for financial modeling, portfolio management, and reporting.. Experience with CAM reconciliations, budgeting and investor reporting.. Experience with creating and managing a data warehouse and working with business intelligence platforms (e.g., Tableau, Power BI) and SQL or other data query languages.
Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services.. Work with teams of investment professionals to provide clients and prospects with objective information and analyses focusing on estate, gift, and income tax planning, including executive compensation and pre-liquidity planning.. Work closely with Financial Advisors to build relationships with ultra high net worth clients and prospects across the country by providing guidance on estate and tax planning issues.. Significant prior trusts and estates experience with a law or accounting firm. Strong income tax background as related to estate planning strategies
2X is seeking an SVP, Corporate Development to join the 2X Leadership Team (2LT), reporting directly to the CEO. This is a high-impact, high-visibility role at the forefront of our growth strategy.. The ideal candidate brings proven experience leading M&A transactions from end to end, ideally through a background in private equity, venture capital, investment banking, management consulting, or corporate development.. Collaborate with 2X functional leaders in finance, sales, delivery, marketing, and people to ensure appropriate pre-close diligence activity, and to set the roadmap and vision for integration. Program manage a virtual team of resources assigned by finance, sales, delivery, marketing, and people in delivery of integration goals. 10+ years of experience in corporate development, M&A, investment banking, private equity, management consulting, or a related field, with demonstrated end-to-end deal execution.
We are working with a large, growing Financial Services organization that is looking to add a Senior Financial Analyst to their team.. The ideal candidate will have strong financial modeling experience, core FP&A skills, and experience working in a collaborative environment.. Our client also offers excellent benefits, including generous PTO and retirement contribution.. Participate in monthly, quarterly, and annual budgeting and forecasting process.. Bachelor's degree in Finance, Economics, or Accounting
QUAD is seeking a CFO for a real estate company located in the Camden, NJ area.. The CFO will oversee all organizational financial functions, with emphasis on collaboration with senior leadership on financial strategies development and implementation.. Manage risk management, insurance, benefits and compliance matters. Bachelor’s degree in Finance or Accounting; CPA required. Property management, real estate, development, and or construction industry experience preferred
With a history dating back to 1886, We Keep Life Flowing® by providing safe, clean, reliable and affordable drinking water and wastewater services to more than 14 million people across 14 regulated jurisdictions and 18 military installations.. American Water has been recognized on the 2023 Bloomberg Gender-Equality Index for the fifth consecutive year, ranked 18th on Barron’s 100 Most Sustainable U.S. Companies 2023 List, earned the U.S. Department of Homeland Security SAFETY Act designation and U.S. Environmental Protection Agency’s WaterSense® Excellence Award, among additional state, local and national recognitions.. Provide treasury management with objective financial analyses and recommendations regarding capital structure, and corporate and subsidiary financing strategies.. Compile and prepare necessary information to complete quarterly debt covenant compliance calculations, analysis and obtain treasury management sign-off for all debt across the regulated AW System.. Experience with cash forecasting and working capital management a plus Understanding of short-term and long-term debt issuance a plus.
Due to our extensive growth, we are currently seeking an experienced, full-time Chief Financial Officer / Senior Controller.. Effectively manage and oversee the firm’s financial operations, cash management, financial planning, risk management, budgeting and forecasting.. Oversee the firm’s accounting processes, payables/receivables, payroll, general ledger, bank/credit card statements and fund investment accounting reconciliations.. Minimum of 7 years’ experience working within the financial services industry in a senior-level role as CFO/Controller within an alternative investment management firm is required.. Experience within investment management firm compliance roles, specifically as a Chief Compliance Officer, or a similar senior-level role is a plus.
Atlantic Group is seeking a Finance Associate (Private Equity) for our client in Montgomery County, PA. This in-office opportunity provides hands-on exposure to the full private equity investment lifecycle, including deal execution, financial modeling, due diligence, and portfolio management.. You’ll work directly with senior leadership, and C-level executives while building deep expertise in transactions, valuation, and investor reporting across a range of industries.. Deal Execution: Support all stages of private equity transactions, including buyouts, recapitalizations, and acquisition financing.. Experience: 3+ years of experience in private equity, investment banking, or transaction services, with a strong background in M&A execution and financial modeling.. Skills & Attributes: Analytical and detail-oriented with strong communication and presentation skills, an entrepreneurial mindset, and a passion for private equity in fast-paced environments.
At WSFS Bank, we empower our Associates to grow their careers, guide our customers to secure their financial futures, and actively support our Communities so they can fully thrive. We are the region's locally headquartered bank and wealth management company. The Retail Office Manager will also provide administrative control over the functions of the office, including but not limited to branch budgeting, branch profitability management, and critical operational duties to ensure branch compliance. Must have a minimum of 3 years of management or supervisory experience in a retail banking environment. Previous experience in branch operations, including procedures, policies, control, and regulations is required.
Primary responsibilities include:Supporting the Global Risk Management claims reporting system, Clearsight; responsible for ensuring all new claims and required information are captured in the system; establishing standardized reports in the claim reporting system, including Insurance Placement reports, Loss reports and Claim Audit reports.. Support financial operations for GRM, including requesting payment of premiums, settlements, etc.. Responsible for managing the Surety program, including managing broker and insurer relationships.. Act as Compliance Assistant, ensuring appropriate filings and or responses to requests: Sarbanes-Oxley reports, Insurance Department reviews, 1099 Reporting, Physician Credentialing, National Practitioner Database, MCARE and OSHA/Workers Compensation postings, and Certificates of Insurance.. Developing written policies and procedures for GRM processes, including Requests for Proposals (RFPs), Claims Management, GRM Manual, Financial Reporting, etc.
In your future role as an Internal Audit Manager, you will. The Internal Audit Manager will report to the Director, Internal Audit and will provide strategic recommendations to improve business processes, enhance internal controls, and ensure the accuracy and integrity of financial reporting and operational business processes.. CPA, CISA and/or CIA certification preferred. Strong analytical, problem solving and internal auditor competencies. If you’re looking for your next career move, apply today and join Nouryon’s worldwide team of Changemakers in providing essential solutions that our customers use to manufacture everyday products such as personal care, cleaning, paints and coatings, agriculture and food, pharmaceuticals, and building products.