Well established DC Law Firm is seeking a senior attorney with 7+ years of Corporate law experience to join its Business & Transactions practice group. The qualified candidate will have experience leading Mergers & Acquisitions transactions (including managing a team of in-house and outside counsel), drafting and negotiating purchase agreements, financing agreements, and other transaction documents, and coordinating due diligence and closings. This includes acting as counsel to buyers and sellers in complex mergers, business restructurings, asset purchase and sale transactions, equity purchase and sale transactions, financing rounds from individual investors as well as private equity and venture capital firms, and executive compensation and synthetic equity offerings. Experience with entity formation and structuring, limited liability company agreements, shareholders agreements, partnership agreements, employee incentive plans, and commercial lending transactions is required. We will also consider candidates outside the DMV area, working a fully remote schedule.
Syntax Talent Solutions is seeking a Corporate Accounting Manager in Washington, D.C. Our client is a mission-driven real estate development and investment firm focused on creating impactful, community-focused projects across the Mid-Atlantic region.. The company specializes in affordable housing and has a strong track record of financing, developing, and acquiring thousands of residential units.. Monitor credit risk and cash management, and ensure proper authorization for payments.. Execute weekly wire payments and bi-weekly check runs.. Experience with QuickBooks and Yardi preferred.
This exciting role works in tandem with the company Controller and the overseas executives for the company, so they must have top communication skills and smarts.. Sr. Finance Associate. The Senior Finance Associate will report directly to the Senior Vice President of Finance and Fund Controller US and be responsible for the financial analysis and reporting of the company's global fund entities to current and prospective investors.. A minimum of five (5) years of relevant industry experience including Private Equity or M&A Advisory or finance from a prominent investment bank or real estate firm. For immediate consideration please email your MS Word (or similar) version of your resume to: jay.zanone@cbh.com
This role requires a deep understanding of accounting principles, financial regulations, and variance analysis and strong technical proficiency in Excel and financial systems.. Maintain accurate inventory records, reconciling discrepancies and ensuring proper valuation. Proven experience in general ledger responsibilities and financial reporting. Advanced Microsoft Excel skills (vlookup, pivot tables, Power Pivot). Experience with Oracle, Hyperion SmartView, BlackLine, SAP, Alteryx, or Salesforce is a plus
The Greater Washington Urban League (“GWUL” or “The League”) is on a mission to achieve a racially equitable metropolitan area and aim to ensure all Greater Washington regional residents benefit from the rewards of full citizenship.. For decades, the League has stood on society’s front lines, serving as both a safety net and facilitator of opportunity in Washington, D.C., Montgomery County, and Prince George’s County, Maryland.. As one of the region’s longest-standing civil rights organizations, the League continues to carve a distinct path towards justice and fair play by putting families first and focusing on the needs of children, the elderly, and everyone in between.. GWUL will continue to advance racial equity as a mechanism to achieve equality while also fueling the acceleration of economic self-reliance, political parity, and physical and mental wellness.. Oversee the organization’s daily accounting functions including general ledger, accounts payable, accounts receivable, and client accounting.
Here, we're not just supporting a law firm; we're partnering with attorneys and clients to deliver cutting-edge solutions in high-stakes litigation and dispute resolution, world-class regulatory compliance and advisory services, and complex transactions.. Our commitment to integrity, ingenuity, agility, and ambition drives us, and we're proud to have been recognised as the "Best Business Team" by The American Lawyer.. Our team provides innovative, strategic solutions to clients in areas including private equity, digital health, healthcare providers, women's health, mergers and acquisitions (M&A), regulatory & compliance and disputes & investigations.. We are looking for a seasoned, senior Healthcare Client Development (CD) Leader, who will collaborate with our partners, Healthcare Practice Group Leaders, associates, and others across our Global Operations (GO) team to further develop existing client relationships, identify and build new client relationships, drive profitable growth, and enhance brand positioning for Healthcare.. Manage budgets and track ROI.Lead or provide guidance on event planning as well as pre- and post-sponsorship and event strategy and debrief sessions.
SOME (So Others Might Eat) provides material aid and comfort to our vulnerable neighbors in the District of Columbia, helping them to break the cycle of poverty and homelessness through programs and services that save lives, improve lives, and help to transform the lives of individuals and families, their communities, and the systems and structures that affect them.. Working in close collaboration with the EVP, Chief Property, Asset, & Facilities Management, Senior Property Manager, and other key stakeholders, the Vice President will establish and communicate operational expectations, lead capital planning and reinvestment strategies, and optimize property performance across financial, physical, and service-oriented benchmarks.. Monitor lease-up properties to ensure tax credit delivery schedules are being met and update weekly reports and schedules.. Provide operational feedback to inform of design, leasing, financing, and lease-up strategies for new development projects.. Collaborate with Housing Development, Facilities Management, Finance, and Property Management on a pro forma.
Marathon TS has an opening for a Software Asset Manager (SAM) Analyst supporting the Enterprise Licensing Team at Department of State.. Provide support services ranging from user assistance, software installs, purchase assistance, renewals, removals, entitlement and proof of purchase tracking, network scan reconciliation, download assistance, and procurement package documentation.. Continuously assess tool capabilities for software client, inventory, and meter software use for key vendor products.. Knowledge of product use rights for publishers such as VMware, Microsoft, Oracle, Adobe, etc.. Experience with Windows and Linux/UNIX environments preferred and/or DBA experience in Oracle and/or SQL is a plus.
5+ years working in Finance, Risk and Regulatory Compliance with experience in one or more of the following:Data Strategy and Governance: Defining functional and enterprise data strategies, establishing and implementing data governance frameworks, aligning with regulatory expectations and industry leading practices. Data Modernization: Creating Finance and Risk data products, advising on Finance, Risk and Compliance functions in the cloud, and modernizing legacy data and analytical tool sets, enabling the use of AI.Functional Relevance:Finance: forecasting and planning, balance sheet management, treasury management. Risk: financial risk management; non-financial risk management including technology risk, third party, resiliency, enterprise & operational risk; risk governance. Compliance: Financial Crime - AML, KYC, Sanctions, Transaction Monitoring; Fraud, consumer protection. For banking, capital markets and/or insurance industries, working knowledge of data regulation across regimes such as BCBS, Dodd Frank, FBO, FINRA, SEC, FinCEN, OCC, FDIC, CCAR, etc.
The individual in this role will lead and oversee key fund management functions, including monthly portfolio valuations, transaction execution, liquidity management, reporting, fundraising support, and oversight of third-party service providers.. Support the preparation of annual fund operating budgets by developing revenue and expense projections; perform quarterly budget-to-actual variance analysis. Collaborate with Legal, Compliance, Investor Relations and external counsel to support ongoing fundraising efforts, including the preparation of marketing materials and due diligence responses. Carlyle's purpose is to invest wisely and create value on behalf of its investors, which range from public and private pension funds to wealthy individuals and families to sovereign wealth funds, unions and corporations.. Carlyle invests across three segments - Global Private Equity, Global Credit and Investment Solutions - and has expertise in various industries, including: aerospace, defense & government services, consumer & retail, energy, financial services, healthcare, industrial, real estate, technology & business services, telecommunications & media and transportation.
As a Commercial Banker within the Emerging Middle Market Banking team, your role is to be the focal point of client acquisition and ongoing relationships; Bankers work both independently and as part of a team to introduce our comprehensive solutions to clients.. As a Banker, you are responsible for growing and retaining profitable relationships within the Emerging Middle Market target space.. Our Bankers are required to have deep working knowledge of our solutions including, but not limited to: Credit, Treasury Services, International Banking, Syndicated Finance, Commercial Card and Chase Paymentech Solutions.. Our history spans over 200 years and today we are a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing and asset management.. Those in eligible roles may receive commission-based pay and/or discretionary incentive compensation, paid in the form of cash and/or forfeitable equity, awarded in recognition of individual achievements and contributions.
Ideal candidates will have a blend of public/private accounting experience in the SaaS/Digital Media industries and be well versed in close management, IFRS, and audit management.. This opportunity is in a fully remote capacity but prefer candidates be local to the DMV area to be accessible for executive board meetings.. Assist in the formulation of internal controls and policies to comply with legislation and established best practices. Proficient in accounting software (Microsoft Dynamics D365 Finance & Operations). Certified Public Accountant (CPA) designation and/or public accounting experience
Our client, a private investment firm in the venture capital space, is seeking a Fund Accounting Consultant to support their finance operations during a team member's upcoming leave.. This role offers the opportunity to work with a high-caliber finance team on fund operations, investor reporting, and audit support.. While the company has a hybrid work environment with offices in the Bay Area, they are open to candidates who need a fully remote arrangement.. Support investor reporting, audits, and tax processes. Experience supporting audits and investor reporting
The National Association of Counties (NACo), representing America’s 3,069 county governments with 40,000 elected officials, 3.6 million county employees and more than $750 billion in annual community-based investments, seeks a Chief Financial Officer (CFO).. Oversee the preparation of the annual budget and long-term financial planning with the CEO and Finance Director and update the forecast on a monthly basis. Prepare and present financial statements, reports, and analysis to NACo’s Audit Committee, Finance Committee, Executive Committee, Board of Directors, and executive management team on NACo’s financial position, including accurate reporting of financial information for the non-profit NACo Research Foundation and the for-profit NACo EDGE, Inc.. Collaborate with CIO and CTO to develop and implement IT strategies to support the organization’s operational and security needs. Work with Managing Director to lead initiatives related to talent acquisition, benefits administration, employee relations and insurance management
Execute and successfully lead the delivery of Treasury Advisory projects involving analysis of treasury operating models, optimising treasury guidelines and policies, optimising banking, cash and payment processes and solutions, implementing in-house banking and payment factory solutions, related process improvements and treasury management system selection and implementation. Support the evaluation and implementation of treasury management systems, such as SAP / Kyriba / FIS and others. Generate Leads by engaging with clients within the Swiss market and within the wider European market by collaborating with other Treasury experts within the Deloitte network. Implementation experience in least one other treasury system would be of benefit (e.g. Kyriba, FIS, ION, Coupa, etc.. In-depth knowledge of Cash Management / Treasury Management / Payment Management / Inhouse Banking / Bank Relationship Management / Bank Communication Management / FX Risk Management / Hedge Management and Accounting processes and functions and experience in developing recommendations for treasury optimization and transformation.
Our client, a private equity-backed portfolio company, is seeking a visionary Director of FP&A to lead the financial planning and analysis function and drive strategic initiatives.. Bachelor's degree in Finance, Accounting, Economics, or a related field; MBA or CFA strongly preferred.. Proficiency in financial planning systems (e.g., Adaptive Insights, Hyperion) and advanced Excel capabilities.. Opportunities for professional growth and leadership development within a fast-paced, private equity-backed organization.. Business Consulting and Services, Venture Capital and Private Equity Principals, and Financial Services
As a Venture Partner , you will play a critical role in identifying and nurturing high-potential startups, guiding them through various stages of funding, including pre-seed, seed, Series A, and beyond. This role is ideal for individuals passionate about the startup ecosystem who can leverage their expertise and network to drive successful investments and mentor promising entrepreneurs. Investment Evaluation : Conduct due diligence, evaluate business models, market opportunities, and financial projections to assess investment potential. Portfolio Management : Manage and monitor the progress of investments, providing ongoing support and participating in follow-on funding rounds. Extensive experience in venture capital , private equity , or startup investments.
Designed with a focus on enabling professionals to effectively scale their trading businesses, T3 includes a diverse community of individuals with backgrounds in investment banking, quantitative trading, private equity, hedge funds, and other non-finance fields. The Derivatives Trader will be responsible for managing a portfolio, developing trading strategies, and risk management decisions for a variety of derivative products including options, futures, and swaps. Develop and execute trading strategies in various derivatives markets, including but not limited to equity options, commodity futures, and listed swaps. Stay abreast of macroeconomic indicators, company news, and other market-moving information. Minimum of 5 years of experience in a similar role, preferably at a proprietary trading firm, hedge fund, or investment bank (or equivalent experience).
Establish and periodically update understanding of client financial needs and conditions based upon sound profiling and personal financial planning analysis.. (Banking experience may include Retail, Wealth, Advisory, and/or Retail Lending experience) OR, 3 years’ experience in a financial client relationship manager role.. A minimum of Securities Industry Essentials (SIE), FINRA Series 7, 66 (63 and 65 in lieu of 66) and applicable Insurance licenses (Life, Health, and Variable) must be active and maintained, or must be obtained within 100-150 days of job entry date.. Completion or enrollment in professional level certification programs (preference in rank order): Certified Financial Planner (CFP), Chartered Financial Analyst. (CFA), Accredited Asset Management Specialist AAMS® , Certified Trust and Financial Advisor CTFA®, Chartered Life Underwriter CLU®, CRPC® – Chartered Retirement Planning Counselor, or ChFC® – Chartered Financial Consultant®
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.. - Financial modeling, valuation, synergy assessments, and deal structuring. - Coordinate due diligence across service lines (e.g., legal, finance, HR, IT, risk) and manage external advisors. - 7 years of experience in corporate development, investment banking, or private equity. 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.