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.
At Quaker Houghton, we are experts in the development, production and application of industrial process fluids, lubricants and coatings for the manufacturing industry.. This position will also support and collaborate with other members of the tax team, primarily in the areas of income tax accounting, tax compliance, SOX controls and ongoing audit/advocacy management, but also research and planning.. Assist the team to ensure that the current and deferred tax account balances of our global subsidiaries are accurately stated and properly classified through quarterly and annual review and validation of their income tax reporting and resolution of income tax accounting issues, as well as coordinated training if/where needed.. Assist the team in managing SOX internal controls compliance and reporting in the area of income tax accounting, and with the development of audit ready files to support the audit of the Company’s tax provision; and provide assistance and coordination with IRS/state/foreign tax audit matters, as needed.. Research and monitor tax law changes throughout the world and the related financial statement implications including U.S. Tax Reform and related regulations issued by the U.S. Treasury and the state taxing authorities.
Manage quarterly and annual financial reporting, as well as preparation and filing of financial statements in compliance with SEC and U.S. GAAP regulations.. Preparation of financial statements and other required documents in Workiva software.. Specific areas of focus will be accounting standards related to revenue recognition, lease accounting, business combinations, equity-based compensation and equity & debt related matters.. Minimum of 5-8 years of accounting experience; Big 4 public accounting experience mandatory; experience in healthcare industry is preferred.. Experience and proficiency with Oracle ERP and Workiva software is preferred.
If you're a tax professional who wants to develop and thrive in the most strategic part of our tax practice and serve our largest clients, we have an exciting opportunity for you as a Tax Senior on our growing team!. As a Tax Senior, you will utilize your prior experience to provide tax compliance and advisory services to investment management clients.. Training, mentoring, and supervising new and experienced-level tax staff, and attending required Deloitte Tax LLP and sector-specific trainings.. Certified Financial Planner (CFP). Advanced degree such as Masters of Tax, JD, and/or LLM
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
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.
The Chief Financial Officer (“CFO”) provides strategic, financial, and operational leadership to ensure the long-term sustainability and effectiveness of the organization.. The CFO is primarily responsible for overseeing financial planning, compliance, internal controls, and overall operational efficiency.. The CFO will work closely with the CEO to provide high-level oversight of KACS programs and initiatives that support food security, housing stability, crisis intervention, and community education.. Responsible for Finance and Administrative functions, including but not limited to, Finance Management, Strategic Financial Planning, Grant Management, Operating and Capital Budgets, Accounting and Financial Reporting, Cash Management, Payroll, and Procurement.. Advanced degree (MBA, MPA, etc.)
Manage quarterly and annual financial reporting, as well as preparation and filing of financial statements in compliance with SEC and U.S. GAAP regulations.. Preparation of financial statements and other required documents in Workiva software.. Specific areas of focus will be accounting standards related to revenue recognition, lease accounting, business combinations, equity-based compensation and equity & debt related matters.. Minimum of 5-8 years of accounting experience; Big 4 public accounting experience mandatory; experience in healthcare industry is preferred.. Experience and proficiency with Oracle ERP and Workiva software is preferred.
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.
We support our clients by addressing the challenges of achieving appropriate standards of control, efficient back office opportunities and support to the business through insight and challenge.. Our team helps our clients maximise their available liquidity position and manage financial risk, such as foreign exchange rates, interest rate changes, and commodity price fluctuations, as well as make decisions around funding the core business operations and making investments to increase the value of the organisation to the shareholders.. To help us achieve this we have the PwC Professional; our global leadership development framework.. 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.. PwC offers a wide range of benefits, including medical, dental, vision, 401k, holiday pay, vacation, personal and family sick leave, and more.
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.
The Controller will oversee the month-end close process, manage financial reporting, ensure compliance with GAAP, and support budgeting, forecasting, and audit readiness.. This position also plays a key role in developing internal controls, managing treasury functions, and partnering cross-functionally with departments such as HR, IT, and Operations to drive financial clarity and performance.. Handle project accounting, treasury, and 13-week cash flow forecasting.. Develop internal controls and support budgeting and KPI tracking.. Coordinate with HR, IT, Fleet, Ops, Risk, Billing, and Payroll.
Prepare, review and submit bi-weekly payroll.. Manage daily accounting operations, including accounts payable, accounts receivable, payroll audits, income auditing, and cashier oversight.. Assist with forecasting, budgeting, and financial analysis projects as directed by the Director of Finance.. Serve as acting Director of Finance in their absence and lead special projects or strategic initiatives as needed.. Bachelor’s degree in Finance or Accounting and 2+ years of hotel accounting experience, or an equivalent combination of education and 5+ years of hotel accounting experience.
Coordinates a high volume of domestic and international travel arrangements, including visa procurement; processes expense reports accordingly and in a timely manner.. Supports general office administrative duties (copying, filing, faxing, archiving, shipping, supplies, etc), ad-hoc projects, facilities management and/or event planning as requested.. Familiar with expense platforms such as SAP Concur. Founded in 1869, we are a leading global investment banking, securities and investment management firm.. We'remitted to fostering and advancing diversity and inclusion in our own workplace and beyond by ensuring every individual within our firm has a number of opportunities to grow professionally and personally, from our training and development opportunities and firmwide networks to benefits, wellness and personal finance offerings and mindfulness programs.
Develop and execute financial strategies aligned with Draeger’s corporate objectives and growth plans.. Oversee the FP&A (financial planning & analysis) functions.. Stay updated with industry trends and regulatory changes affecting the Draeger’s financial operations.. Ensure tax preparation of all Draeger entities in North America.. Strategize and coordinate facility management activities for all North American Draeger sites in close cooperation with local Site Managers and Corporate Real Estate.
Act as the Consumer Compliance Subject Matter Expert, ensuring adherence to all relevant regulations, including but not limited to TILA, Regulation Z, TISA, Regulation DD, and Reg CC. Participate in the Annual Consumer Compliance Risk Assessment, ensuring comprehensive risk management across the organization. Minimum of 10 years of experience in Compliance Testing or Internal Audit roles, with a strong focus on consumer compliance regulations. Knowledge of Governance Risk Compliance tools. We are committed to the continual advancement of a culture which reflects the value we place on diversity, equity, and inclusion.
Serve as chief financial advisor to the Borough Manager; establish accounting and financial controls for Borough functions; lead and direct short- and long-range financial planning; participate in strategic planning; gather, interpret and prepare data for studies, reports and recommendations.. Provide day-to-day oversight of General Ledger including accounts receivable, accounts payable, fixed assets, utility billing, cash and risk management; ensure proper review of entries and invoices internally created by departments to system review documentation of reconciliation of accounts for accuracy and conformance to laws; respond to questions, advise on policy and procedure, assist with non-routine account reconciliation matters and benefits claims, promote customer satisfaction.. Oversee employee benefit programs, services, insurances and pensions, including police pension and DROP Program; provide updates to actuary; coordinate audits; calculate funding requirements and prepare certifications; prepare and review eligibility lists for benefits payments.. In conjunction with IT Manager, manage financial information technology (IT) function; administer financial software systems and intersection of financial systems software and utility billing operations; review and make recommendations for financial software and hardware improvements throughout the Borough.. Serve as Assistant Administrator for the Parking Authority; perform bookkeeping duties using Caselle which includes making deposits, writing checks; reconciling bank accounts, preparing monthly treasurer reports and the yearly budget, attending meetings as required.