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Manage the overall processes and budgets within the Credit Department including Cash Application Management, Credit Risk Management, Accounts Receivable Collections Management, Accounts Receivable Deductions Management, Credit-related Risk Management, Corporate Governance and Compliance, Credit Reporting and other credit-related operations.. Manage the overall corporate tax compliance and planning activities for the U.S and Canadian PNA group companies including the timely preparation and filing of federal, state, provincial and local income tax returns, franchise tax returns, payroll tax and other corporate tax filings and reporting requirements.. Manage PNA Group companies' property and casualty insurance programs and risks to maximize the protection of assets at reasonable prices, including managing insurance recoveries on losses.. Manage internal company controls and internal and external audits for PNA Group companies' corporate activities to assess the effectiveness and efficiency of internal controls, operations and management.. Manage J-SOX compliance and reporting.
Global Widget is a vertically integrated, next-generation consumer packaged goods (CPG) manufacturer of quality health and wellness products, focusing on gummy production.. Position Overview - Chief Financial Officer (CFO) – Manufacturing Industry. We are seeking an experienced and strategic Chief Financial Officer (CFO) to lead the financial operations of our growing manufacturing company.. Strong background in financial planning & analysis (FP&A), M&A, and operational finance.. CPA, CFA, or MBA preferred.
Job Description : PMG is seeking a dynamic and experienced Director of Hotel Asset Management to oversee the performance of a national portfolio of new construction luxury condo-hotel projects, many of which have a centralized short-term rental hotel program.. The ideal candidate will have a proven track record in financial markets, luxury real estate development, and portfolio management, with meaningful operating experience in the burgeoning condo-hotel sector.. Liaison between the HOA, hotel manager, ownership, and partners to maintain appropriate budgets and positive working relationships.. Review financial and property inspection reports and tax records, addressing potential risks or compliance issues in adherence with regulatory, lender, and internal compliance standards.. Company: Property Markets Group (PMG) is a Miami-based national real estate development firm specializing in new construction large-scale residential and hospitality projects.
Finatal is partnered with a mid-market private equity fund who are searching for a best-in-class CFO for one of their growing portfolio companies.. The business is a manufacturing business ($50m) in the Oil & Gas space that has recently been carved out from a large public company and now needs an expert CFO to lead the business through the divorce and build a best-in-class finance & accounting function.. Monitor and manage cash flow, working capital, and liquidity to ensure the business's financial stability and to optimize capital allocation.. Lead financial due diligence for potential acquisitions, assessing their financial viability and alignment with the company's growth strategy.. Proven experience as a CFO or senior finance executive in a manufacturing business, preferably with exposure to private equity-backed environments.
Our client is searching for a 2025 Private Equity Associate based in Dallas, TX. The Associate will support the investment process and meaningfully contribute to all facets of a deal process including; industry research and deal evaluation, financial modeling, valuation analysis, transaction structuring and negotiation, investment committee approval process, and pre and post-merger due diligence.. The Associate role involves performing a wide variety of tasks and analysis in direct support of the team.. 1-4 years of experience in investment banking or private equity. Exceptional analytical skills, including quantitative analysis and complex modeling skills. Highly motivated and entrepreneurial; possessing a high degree of personal initiative
We advise on GP-led transactions including single- and multi-asset continuation vehicles, strip sales, and tender offers.. We engage with financial sponsors across the private equity, infrastructure, growth, and venture capital spectrum, and also work closely with secondary investors and other alternative capital allocators.. Actively engage in all aspects of GP-led Advisory transaction origination and execution.. Act as a day-to-day client and investor point of contact with a focus on the GP-led Secondary Advisory space.. 5+ years of experience in GP-led Secondary Advisory, Mergers & Acquisitions and/or Direct Investing.
This critical role involves financial planning, analysis, reporting, and providing strategic insights to support the business objectives.. Financial Planning and Analysis:Conduct detailed financial analysis and provide strategic recommendations to senior management.. Implement and maintain strong internal controls to safeguard company assets and ensure compliance with regulations and standards.. Collaborate with operations teams to analyse logistics costs, identify trends, and implement cost control measures.. Identify financial risks and implement risk mitigation strategies to safeguard the company's financial interests.
Our Elgin Il based client , a leading designer, manufacturer, and distributor of CNC machines globally, is seeking a (Hybrid 3 days in office/ 2 days remote ) Senior Financial Analyst to join the team.. Healthcare Medical, Dental Vision Other Benefits: HSA, LTD, STD, and life insurance ROLEThe successful Analyst will provide direct support to the finance team and work with regional and corporate leaders on financial analysis to facilitate decision making.. The Analyst will also be responsible for enhancing the design and assist the budgeting and forecasting processes for the consolidated Company.. This includes working with all levels of management to ensure budgeting and forecasting is conducted via a uniform process.. Desired Previous Roles: Previous role(s) as senior accountant, senior financial analyst and similar roles and titles at businesses with revenues of $100+ million.
Our Elgin Il based client , a leading designer, manufacturer, and distributor of CNC machines globally, is seeking a (Hybrid 1 days in office/ 4 days remote ) Senior Financial Analyst to join the team.. Healthcare Medical, Dental Vision Other Benefits: HSA, LTD, STD, and life insurance ROLEThe successful Analyst will provide direct support to the finance team and work with regional and corporate leaders on financial analysis to facilitate decision making.. The Analyst will also be responsible for enhancing the design and assist the budgeting and forecasting processes for the consolidated Company.. This includes working with all levels of management to ensure budgeting and forecasting is conducted via a uniform process.. Desired Previous Roles: Previous role(s) as senior accountant, senior financial analyst and similar roles and titles at businesses with revenues of $100+ million.
Our Elgin Il based client , a leading designer, manufacturer, and distributor of CNC machines globally, is seeking a (Hybrid 1 days in office/ 4 days remote ) Senior Financial Analyst to join the team.. Healthcare Medical, Dental Vision Other Benefits : HSA, LTD, STD, and life insurance ROLE The successful Analyst will provide direct support to the finance team and work with regional and corporate leaders on financial analysis to facilitate decision making.. The Analyst will also be responsible for enhancing the design and assist the budgeting and forecasting processes for the consolidated Company.. This includes working with all levels of management to ensure budgeting and forecasting is conducted via a uniform process.. Desired Previous Roles: Previous role(s) as senior accountant, senior financial analyst and similar roles and titles at businesses with revenues of $100+ million.
Job DescriptionThe position supports the Company’s financing and corporate finance-related activities, including debt and liquidity management, foreign exchange and interest rate risk management, and global banking and investments.. Responsibilities:Assist with the company's global hedging operations, including tracking, monitoring, and executing hedging instruments, preparation of monthly mark-to-market valuations, maintenance of ISDAs, and ongoing reporting and administration.. Maintain a direct cash flow forecast to assist with liquidity, working capital management, and debt planning.. Maintain strong relationships with other areas within the organization, including treasury operations, corporate accounting, tax, and FP&A.Perform other related duties and participate in special projects as assigned.. RRD offers benefits including medical, dental, and vision coverage, paid time off, disability insurance, 401(k) with match, life insurance and other voluntary supplemental insurance coverages, plus tuition assistance, maternity leave, adoption assistance, and employer/partner discounts.
Collaborates with credit and operations colleagues to underwrite, originate, service, monitor, and collect commercial purpose loans and grow depository, Treasury Management, and Wealth Management relationships.. Communicates in an effective and timely way internally with other Bank departments including Credit Administration to support having an accurate understanding of the revenue opportunities and risk dynamics of customer and prospective customer relationships.. generation of loans fees and other non-interest income including Treasury Management and Wealth Management services. Partners effectively and constructively with Credit Administration in underwriting and reviewing Borrower relationships to produce a consistent, timely, and accurate understanding of risk profile.. Experience with negotiating complex credit arrangements in the commercial lending arena required at advanced levels.
The ideal candidate will possess a deep understanding of internal audit practices, and a proven ability to drive process improvements and strengthen internal controls, having a keen awareness of banking and regulatory trends impacting Finance and Risk, audit data analysis skills, and risk management perspectives.. Advanced knowledge of finance concepts, particularly as it pertains to capital, liquidity, and interest rate risk management practices and procedures used in the banking industry.. A relevant professional certification such as CIA (Certified Internal Auditor) or CPA (Certified Public Accountant) is highly desirable.. Competitive base salaries Bonus incentives Generous PTO, Floating Holidays and 12 Federal Holidays observedSupport for financial-well-being and retirement 401k with employer matchComprehensive medical, dental, vision, hospital indemnity, critical illness, pet insurance and moreEmployer paid short-term/long-term disability and basic life insurance Flexible hybrid working arrangements.. Paid parental leave and adoption reimbursement programsFree access to on-site staffed fitness centers (in Delaware) and gym subsidy (for locations outside Delaware) Confidential counseling support (EAP), Health Advocacy services and Wellness program with financial incentivesTuition Reimbursement and Family Scholarship ProgramsCareer development and training opportunitiesNot the right fit?
Finance / Controller We are seeking a highly skilled and experienced Finance / Controller.. The ideal candidate will possess a strong financial acumen and a proven track record in managing accounting operations, financial reporting, and compliance.. Key Responsibilities: Oversee all financial and accounting operations, including billing, accounts receivable, accounts payable, general ledger, and financial reporting.. Coordinate the preparation of regulatory reporting and ensure compliance with applicable standards and regulations.. Qualifications: Bachelor’s degree in Accounting, Finance, or related field; CPA or CMA preferred.
General Ledger Management: Reconcile general ledger accounts and resolve discrepancies.. Internal Controls: Assist in designing and implementing internal control procedures.. Technical Accounting: Stay informed about changes in accounting standards (e.g., ASC , ASC ).. Process Improvement: Identify opportunities to streamline accounting processes.. Cross-Functional Collaboration: Work closely with other departments (e.g., Tax, Treasury, Legal) to ensure accurate financial reporting.
The Role The Treasury Associate will play a key role in supporting and optimizing the treasury operations at Ascent Developer Solutions.. Data Flow Coordination: Assist in mapping and optimizing data flow processes within treasury operations to improve transparency and operational efficiency.. Risk and Compliance Monitoring: Support the monitoring of financial risks related to treasury operations.. Your Skills and Experience Bachelor's degree in accounting, Finance, Business Administration, or a related field Certified Public Accountant (CPA), Certified Managerial Accountant (CMA) preferred.. Structured Finance and Securitizations: Demonstrated knowledge and hands-on experience with structured finance instruments and securitization processes, crucial for managing complex financial structures.
Finance Responsibilities - Serve as the strategic finance leader for optimizing the performance of firm entities, funds and portfolios.. - Oversee, optimize and manage the financial operations of the management company, including budgeting, cash flow, digital asset management, and expenditures.. - Manage the firm’s third-party CFO/COO service’s comprehensive strategic finance planning and review processes for capital calls, distributions, management fee disbursements, and the allocation of funds between Limited Partners and General Partners.. - Partner with portfolio company leadership as applicable to guide and advise on strategic finance decisions.. Requirements Qualifications - A strong preference for candidates with 5+ years of experience within a venture capital firm or registered investment advisor.
As the Chief Financial Officer, you will serve as the financial steward and strategic partner to the executive team and private equity stakeholders.. You will balance the responsibilities of Strategist, Catalyst, Steward, and Operator to ensure financial health and drive the organization's growth trajectory.. Oversee financial planning, analysis, and reporting processes to ensure timely and accurate delivery of financial data.. Act as a key liaison between private equity investors, the board of directors, and the executive team, ensuring transparency and alignment.. Experience with mergers and acquisitions (M&A), integrations, or exit strategies.
Associate Attorney (Corporate) - Mergers & Acquisitions/Private Equity Senior The Mergers & Acquisitions/Private Equity Practice is seeking a highly qualified associate with a minimum of five years of experience in mergers and acquisitions and/or private equity to join associate class.. Associate Attorney (Corporate) Real Estate The Real Estate Practice is seeking a highly qualified associate with at least three years of experience in complex real estate transactions involving joint ventures, development projects, acquisitions, dispositions, real estate M&A, and financings.. Associate (Finance) - Banking (Lender Side) The Banking Practice is seeking associates with a minimum of two years of private credit, acquisition finance or leveraged finance experience to join our cutting edge and constantly growing team.. Associate Finance (Borrower Side) Private Equity Finance Practice is seeking mid-level associates with a minimum of one year of borrower-side private credit, acquisition finance, or leveraged finance experience to join the 2nd, 3rd or 4th year class of our cutting edge and constantly growing team.. Associate (Finance) (Borrower Side) Senior Private Equity Finance Practice is seeking senior associates with a minimum of four years of borrower-side private credit, acquisition finance, or leveraged finance experience to join our cutting edge and constantly growing team.
Position type: Full-time contractDuration: 12 Months Location: New Brunswick NJ (Onsite) As a Finance Manager, you will: Purpose of the function This role supports Cell Therapy Financial Planning & Analysis function.. Support in the standard cost setting process for externally manufactured cell therapy products including updating system with new standards.. Specific pharmaceutical manufacturing/costing experience is a plus.. Comments 100% on-site Top 3-5 skills required: Manufacturing/ Costing background Details Oriented; Self-starter Oracle working knowledge preferred Pharma Experience PAY RANGE AND BENEFITS: Pay Range*: $70.00 - $75.19 per hour.. Benefits: Innova Solutions offers benefits( based on eligibility) that include the following: Medical & pharmacy coverage, Dental/vision insurance, 401(k), Health saving account (HSA) and Flexible spending account (FSA), Life Insurance, Pet Insurance, Short term and Long term Disability, Accident & Critical illness coverage, Pre-paid legal & ID theft protection, Sick time, and other types of paid leaves (as required by law), Employee Assistance Program (EAP).