Blue Heron Asset Management, LLC is a private equity real estate investment management and development firm based in Raleigh, North Carolina.. The firm seeks to achieve superior risk-adjusted returns within well-balanced and actively managed investment funds with a primary focus on the acquisition and development of multifamily and mixed-use properties in high-growth southeastern U.S. markets.. This person will participate in all aspects of real estate development including deal sourcing, underwriting, project finance, and project management.. Proactively identify and source new potential real estate development opportunities through market research, networking, and relationship building.. Experience in real estate or the financial services industry, particularly in private equity, venture capital, or asset management, is preferred
We are partnered with a PE-backed renewable energy developer specializing in utility-scale solar PV and BESS projects. To date, the company has developed and brought into commercial operation over 80 solar projects, totaling an aggregate generating capacity of approximately 1.2 GW. The developer, poised for significant growth following recent funding, is seeking to hire a dynamic and versatile Finance Manager. The Finance Manager, who will report to the VP of Project Finance, will play a crucial role in supporting the company's financial operations, with a focus on project finance, M&A, and revenue contract origination. Support the structuring and raising of debt and tax equity for large-scale solar and storage projects, including overseeing specific due diligence workstreams. Proven track record in a utility-scale development firm and/or financial institution (Investment Banking, Project Finance Banking, Private Equity/Credit), or a similar role.
Oval Park Capital is an early-stage venture capital firm on a mission to back breakthrough physical and industrial technology startups solving some of the world’s most critical challenges.. Attend board meetings as a Board Member or Observer, contributing to key decisions. Explore emerging verticals like advanced manufacturing, AI/ML, climate tech, and robotics. 1–2 years in investment banking, consulting, corporate development, or startup operations/founding. 1–2 years in venture capital, growth equity, or private equity (early-stage familiarity preferred)
Are you an experienced accounting leader ready to make an impact in a fast-growing, private equity-backed company?. We are seeking a Director of Accounting to oversee and enhance our accounting operations, financial reporting, and compliance while driving efficiency and process improvements. Financial Controls & Compliance – Partner with the VP of Finance to maintain internal controls, policies, and procedures, and support cash flow forecasting. 10+ years of experience in accounting or controller roles, with a strong background in financial reporting and operations. Experience in a Private Equity-backed environment is highly valued.
A minimum of two years of commercial estate experience is required, ideally in investment management, investment banking, or capital markets brokerage. This is the ideal opportunity for someone that wants holistic exposure to Beacon’s investment, development, leasing, and asset management teams in our fastest growing market. Professionally represent Beacon by fielding prospect and broker inquiries, conducting property tours, refining lease proposals, negotiating lease documents, maintaining / updating our quarterly market data, and working with our in-house property management and project management teams. A minimum of two years of commercial real estate experience, ideally in investment management, investment banking, or capital markets brokerage. Strong proficiency in asset valuation analysis and financial modeling within Excel and Argus Enterprise.
Wealth management and fiduciary audits in corporate, employee benefit, and personal trust relationships, propriety mutual funds, investment management, broker/dealer and security sales and trading activities.. Data Analytics supporting the continuous improvement of audit methodologies, audit approach and related practices with particular emphasis towards collaboration with key partners, leveraging the use of information analytics, business intelligence, data mining and other enabling approaches, technologies and tools.. Enhances and maintains morale of the audit staff. CPA - Certified Public Accountant CPA, CIA, CISA, or CFA. 6 + years of required experience in the Treasury space with Liquidity and/or IRRBB risk management coverage in a financial institution
Rocket Travel by Agoda (RTA) is the strategic partnerships arm of Agoda, part of Booking Holdings (NASDAQ: BKNG).. As a Senior Manager Finance business partner, you will partner closely with business leaders from across the company around the globe.. Technical Proficiency Advanced proficiency in Excel, financial modeling, and data visualization tools (e.g., Tableau, Power BI).. Professional finance qualifications (e.g., CFA, ACA, CIMA) or an MBA.. Experience in the digital, e-commerce, or online travel industry.
Preparing ad-hoc analyses and information for CAO/CFO, SEC Reporting, Corporate Finance, Investor Relations, and Corporate DevelopmentPreparing financial decks for CAO/CFO to key stakeholders including C-suite Executives and Board of Directors.. Performing deep dive analysis requiring financial modeling to develop recommendations and impact the decision making of senior leadershipConducting analysis of (but not limited to) geography, FX, Operating Companies, price performance, customer profitability, risk and opportunity tracking and moreConducting SG&A spend analysis, working closely with functional teams. Overseeing the Corporate financial planning and reporting tool (OneStream) and leading system changes/enhancements. Experience with ERP systems and reporting software such as OneStream.. The ability to balance a partnering approach with a firm stance on ethics, compliance, GAAP, etc.
SUMMARY Compliance role within IT. ESSENTIAL DUTIES AND RESPONSIBILITIES · Maintain compliance program within IT including SOX, PCI, and banking regulations.. · Consult during technology implementation projects applying risk/control methodology.. · Collaborates with external and internal audit resources to gather evidence of effective control execution.. we serve clients through a team of approximately ~, associates and ~ banking centers throughout the southeastern United States.. Headquartered in Memphis, TN, the banking subsidiary First Horizon Bank operates in states across the southern First Horizon has been recognized as one of the nation’s best employers by Fortune and Forbes magazines and a Top Most Reputable Bank. Benefit Highlights
We collaborate with best-in-breed companies to deliver products, including industry leaders like Bayer and Corteva.. About This Role:The Senior Director of Strategic Finance & Planning will lead the strategic finance and planning team, and serve as a critical strategic partner to the Executive Team and collaborate closely with senior executives and the Chief of Staff to drive long-term planning, evaluate revenue-generating opportunities, and enhance decision-making across the organization.. This role will focus on strategic finance aspects such as long-term strategic planning, deals, collaborations, and other high-impact initiatives that advance the company's business objectives.. Lead a high-functioning strategic finance group, providing mentorship, coaching, and identifying development opportunities b.. Required Education & Experience:· 8+ years of experience in strategic finance, corporate strategy, investment banking, management consulting, or a related field.
Wealth management and fiduciary audits in corporate, employee benefit, and personal trust relationships, propriety mutual funds, investment management, broker/dealer and security sales and trading activities.. Data Analytics supporting the continuous improvement of audit methodologies, audit approach and related practices with particular emphasis towards collaboration with key partners, leveraging the use of information analytics, business intelligence, data mining and other enabling approaches, technologies and tools.. Keeps abreast of changes in the business, regulatory, and accounting and control environments in which City National Bank operates, especially for audit areas assigned.. ABOUT CITY NATIONAL City National Bank, a subsidiary of Royal Bank of Canada, is the largest bank headquartered in Los Angeles with $92.03 billion in assets as of April 30, 2024.. City National Bank does business in Miami and the state of Florida as CN Bank. For more information about City National, visit cnb.com. EQUAL OPPORTUNITY EMPLOYER & REASONABLE ACCOMMODATIONCity National Bank is an equal opportunity employer committed to promoting and maintaining a diverse, equitable and inclusive working environment where differences are valued and encouraged.
Location: Remote Salary: $60 - $100/hr Type: Part-time / Contract Take the next step in your career journey This is a remote, project-based role for finance professionals with 1–3 years of work experience.. You will complete tasks similar to those performed in investment banking, private equity, corporate development, or hedge funds.. Work is over the next 2-3 weeks, asynchronous, and assigned on a project-by-project basis, with an expected commitment of 10–20 hours per week for the projects you accept.. This position offers highly competitive pay, exposure to real-world financial analysis, and an excellent opportunity to boost your resume.
This position is responsible and accountable for oversight and management of Business Unit (BU) risk activities, in adherence with the Company's Risk Appetite and Corporate Strategy.. Responsibilities Execute second line risk program requirements including, but not limited to, RCSA, control assurance, issue management, third party risk management, model risk management, etc.. Execute second line risk program requirements including, but not limited to, RCSA, control assurance, issue management, third party risk management, model risk management, etc.. Advise and provide guidance on risk activities and assessments including strategic initiatives, integrations, regulatory commitments, and large-scale technology transformations.. Knowledge of operational and enterprise risk management including identification, assessment, and escalation of risk issues.
Documents audit work demonstrating command of language, clarity of thought, and orderliness of presentation.. Executes procedures and reviews work papers supporting audit of internal controls, business processes, and account balances.. Managing Risk - Assessing and effectively managing all of the risks associated with their business objectives and activities to ensure they adhere to and support PNC's Enterprise Risk Management Framework.. Competencies Audit And Compliance Function, Auditing, Business Acumen, Coaching Others, Data Gathering and Reporting, Decision Making and Critical Thinking, Effective Communications, Internal Controls, Planning and Organizing, Process Management, Written Communications Work Experience Roles at this level typically require a university / college degree, with 3+ years of relevant / direct industry experience.. In addition, PNC generally provides the following paid time off, depending on your eligibility*: maternity and/or parental leave; up to 11 paid holidays each year; 8 occasional absence days each year, unless otherwise required by law; between 15 to 25 vacation days each year, depending on career level; and years of service.
#CloroxIsThePlace Your role at Clorox: The Manager Internal Audit is a trusted risk advisor charged with helping to develop and implement the Company’s global internal audit strategy aimed at advising management in the identification and mitigation of a wide range of business, financial, technology, compliance, and operational risks while strengthening The Clorox Company’s internal controls.. Policy Assessment: Assist in the assessing effectiveness of policies and procedures related to fraud prevention and detection.. Continuous Improvement: Stay updated on industry best practices and emerging trends in fraud detection and prevention, and recommend improvements to existing processes.. Investigation managment, forensics, control override, fraud detection, etc.. This includes robust health plans, a market-leading 401(k) program with a company match, flexible time off benefits (including half-day summer Fridays depending on location), inclusive fertility/adoption benefits, and more.
Who We Are First American (India) is a GCC (Global Capability Center) of the First American Financial Corporation (NYSE: FAF) family of companies.. First American Financial Corporation provides comprehensive title insurance, closing/settlement, property data and technology solutions.. Significant initiative is taken to accomplish goals and activities and to design and implement programs WHAT YOU’LL BRING Extensive mortgage servicing and originations industry experience required.. Bachelor’s degree in finance or accounting, MBA preferred.. Our People First Culture celebrates diversity, equity and inclusion not simply because it’s the right thing to do, but also because it’s the key to our success.
Perform compliance monitoring indicator (CMI) activities.. Financial Risk Manager (FRM)/Certified Financial Analyst (CFA) or equivalent advanced risk certification 4.. Experience in the financial services industry, Wealth Management, Corporate Investment Banking, Commercial Banking, Commercial Real Estate, and/or Lending 6.. Understanding of the Registered Investment Advisor (RIA) industry and GIPS standards; FINRA licenses 7.. CIA, CPA, CISA, MPA, MBA or advanced degree 8.
Piper Companies is searching for a Business Analyst to join a major healthcare system in the Raleigh, NC area.. The Business Analyst will provide diverse financial analyses, including new project and ad hoc analyses.. This is a Monday - Friday, onsite opportunity.
Responsibilities Financial Management : Oversee all accounting functions, including billing, accounts receivable, accounts payable, general ledger, cost accounting, inventory accounting, and revenue recognition.. Internal Controls : Establish and maintain effective internal controls to protect company assets and ensure accurate financial reporting.. Strategic Planning : Provide financial insights and recommendations to support strategic business initiatives, collaborating with senior management on financial planning and analysis.. Qualifications Bachelor's degree in Accounting, Finance, or a related field; CPA or CMA certification preferred.. Familiarity with Acumatica and Procore software is a plus.
You will be joining Fill & Finish Expansions (FFEx), which is responsible for all major expansion activities within aseptic production, solid dosage forms, finished products, fill & finish warehousing, and QC across all production areas in Product Supply.. Support Business Support in activities designed to streamline, automate, or otherwise improve processes. Finance/Procurement liaison for (GIA) Group Internal Audit. Certified Public Accountant (CPA)/Certified Internal Auditor (CIA) or advanced degree such as master's from an accredited university in lieu of CPA certification required. Minimum ten (10) years of public accounting/auditing experience or minimum fifteen (15) years of corporate finance/accounting/procurement experience in private industry required