Acentra Health is looking for a Director of Finance Transformation to join our growing team.. Acentra Health is seeking a highly skilled and experienced Finance Director to serve as the financial owner for strategic initiatives and transformation efforts.. Reporting directly to the SVP of Corporate Finance, the Finance Director will work closely with the Chief Transformation Officer and other senior executives to drive fact-based decision-making and ROI-driven execution.. 10+ years of experience in financial analysis, FP&A, corporate finance, or strategy consulting, preferably within healthcare, technology, or private equity-backed companies.. Advanced proficiency in Excel (financial modeling), data visualization tools (e.g., Power BI, Tableau), and ERP/financial systems (e.g., Costpoint, Oracle EPM).
You will be responsible for building the Firm's relationships with privately owned businesses and their owners in the Mid-Atlantic region.. You will have the opportunity to approach each client and prospect as a generalist on issues of strategic importance to private business owners, such as mergers and acquisitions, exit opportunities, capital structure, capital markets, commercial lending, private equity, corporate governance, and industry insights.. You will also identify opportunities to introduce private business owners to BBH’s Multi-Family Office services such as private wealth investment advisory, trust & estate planning, and philanthropic advisory.. Market the BBH PB value proposition and entire suite of BBH services, including lending, private wealth management, and private equity.. 10+ years’ financial services experience, preferably in corporate lending, corporate finance or mergers and acquisitions
Guggenheim Securities, the Investment Banking division of Guggenheim Partners, is seeking an Engineer to join our growing Houston Energy Investment Banking team.. This role would be fully integrated into our technical and finance team.. Guggenheim Secu Investment, Energy, Banking, Analyst, Associate, Engineer, Technology
The Commercial Banking Business provides credit and financing, treasury and payment services, international and real estate services to corporations, municipalities, real estate investors and not for profit organizations.. Prior financial services experience in commercial lending (including commercial real estate lending) and commercial payments products. JPMorgan Chase, one of the oldest financial institutions, offers innovative financial solutions to millions of consumers, small businesses and many of the world's most prominent corporate, institutional and government clients under the J.P. Morgan and Chase brands.. 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.
As part of Key's second-line-of-defense Compliance Risk Management function, the Risk Evaluation and Assurance Program (the "REA Program") has the responsibility for leading the strategy and execution for testing designed to evaluate Key's ongoing compliance with applicable laws and regulations across Key's Asset Management activities (i.e. - wealth management and trust, broker-dealer, and swap dealer) and lines of business, products, and functional activities.. The Director must have comprehensive knowledge of wealth management, fiduciary/trust, broker-dealer, and investment management as well as a strong understanding of audit and/or testing concepts with the ability to apply those to testing, monitoring, issues management, and verification activities.. Oversee all aspects of the Asset Management testing program including providing strategic direction to the testing teams related to program design, methodology, execution and reporting as well as leading the engagement of line of business senior management and risk management partners in ongoing design, execution, and continuous improvement of the testing program.. Plan, direct, and provide oversight of independent second-line-of-defense risk-based monitoring and evaluation activities, including risk assessment, monitoring and testing, analysis of findings, and reporting to ensure effective, sustainable risk management processes exist.. Assist Compliance Executive with the ongoing design, development, and implementation of the REA Program including the testing plan/schedule, testing methodology, ongoing monitoring, and strategic initiatives to ensure the
We are actively recruiting Corporate Partners with significant portable business for leading law firms across the U.S. If you specialize in M&A, private equity, fund finance, venture capital, or securities , this is an opportunity to elevate your practice within a well-resourced, growth-oriented firm.. We Are Also Hiring Partners in Litigation, Real Estate, IP, Labor & More.. Handle High-Value Corporate Transactions Work on market-leading deals for Fortune 500 companies, private equity firms, funds and institutional investors.. Mergers & Acquisitions (M&A) & Private Equity. Structured Finance, Banking & Private Credit
Financial Controller, Lending and Planning & Analysis Location: United States/Hybrid/Florida. Reports To: Chief Financial Officer (CFO) or CEO. Ensure compliance with Generally Accepted Accounting Principles (GAAP) or International Financial Reporting Standards (IFRS).. Qualifications & Skills Bachelor’s degree in Accounting, Finance, or a related field (CPA, CMA, or MBA preferred).. Proficiency in accounting software (e.g., QuickBooks, NetSuite, SAP, or similar).
Workout management: Develop and execute strategies to manage distressed loans, including negotiating loan modifications, working with borrowers facing financial difficulties, and pursuing foreclosure options when necessary.. Risk management: Implement and maintain robust risk management practices to mitigate credit risk, including loan-level credit reviews, stress testing, and compliance with regulatory requirements.. Extensive experience in commercial lending, including loan origination, underwriting, and portfolio management.. From helping people purchase manufactured homes, to strengthening small businesses and nonprofits, and supporting entire towns as they work to secure financing, our services support the security and growth of people and communities.. Affordable Housing Development Loans
LHH is seeking a Corporate Controller for a well-established manufacturing and construction-related organization located in Dallas, TX. This position will play a key role in overseeing corporate-level financial operations, ensuring compliance with regulatory requirements, and delivering accurate financial reporting to executive leadership.. Manage budgeting and forecasting processes, including corporate forecast consolidation, overhead allocations, and treasury planning.. Provide oversight of accounts receivable, accounts payable, and working capital strategies to optimize cash flow.. Maintain strong internal controls, including segregation of duties, approval workflows, and compliance with SOX requirements.. Demonstrated expertise in cost accounting, inventory valuation, and capital project management.
Energy Capital Ventures is the only early-stage venture capital fund solely dedicated to the sustainability, resilience, and digital transformation of the natural gas value chain.. This is not a typical venture capital Associate role.. In addition to traditional venture capital responsibilities, this position will have meaningful interaction with our corporate LPs and platform.. · Venture capital/ private equity network development. EG – engineering, biology, chemistry, physics, geology, material sciences, etc.
You will collaborate closely with National’s Credit Capital Markets and Debt Capital Markets teams to identify and deliver financing solutions to our clients.. Your Job As an Investment Banking Vice President, the individual will actively participate in a wide variety of transactions headed by senior members of the Power, Utilities & Infrastructure (“PU&I”) Investment Banking team and will be expected to have a strong understanding of the industry sector as part of their responsibilities.. Your Team National is a full-service investment bank with a strong presence in the Power, Utilities & Infrastructure sector.. Undergraduate or graduate degree in finance, accounting, economics or a field related to the sector of activity;. FINRA Series 7, 63, 79 preferred; MBA, CPA, or CFA considered assets;
Industries Real Estate and Venture Capital and Private Equity Principals. Associate Manager - Hedge Fund/ Private Equity Accounting San Francisco Bay Area $85,000.00-$140,000.00 3 weeks ago. Deals Private Equity Value Creation (PEVC) TMT Manager Mountain View, CA $147,000.00-$184,000.00 2 weeks ago. Strategy& Deals Private Equity Value Creation (PEVC) TMT Director San Francisco Bay Area $155,000.00-$410,000.00 2 weeks ago. Senior Corporate Development & Investor Relations Manager Senior Corporate Paralegal (Private Equity/M&A) Manager, Investment Servcies - Patelco Credit Union Manager - Hedge Fund/Private Equity Accounting We’re unlocking community knowledge in a new way.
Drawing on your expertise in areas such as project finance, M&A, business valuation, and corporate transactions, you’ll serve as a trusted advisor to senior client stakeholders, helping them navigate complex financial decisions, transactions, and transformation initiatives.. Serve as a senior advisor to CFOs and other C-suite leaders, providing insights on project finance, M&A, valuation, and corporate transactions.. Advanced proficiency in Microsoft Excel and PowerPoint; experience with FP&A tools (e.g., Power BI, Anaplan, Tableau) is a plus.. Investment Banking Director– Focus on Low Carbon Molecules Director of Finance, Financial Planning & Analysis PEPI: Senior Director, CFO Services - Digital Finance (OPEN TO ALL US LOCATIONS) Houston, TX $175,000.00-$250,000.00 2 weeks ago. Director Budget, Financial Planning & Decision Support Webber - Director of Financial Planning & Analysis - Corporate Director of Finance- Physician Organization (onsite Medical Center) Senior Director, Global Controls, Process & Finance Transformation Director of Finance - Houston Methodist Baytown Hospital Houston, TX $200,000.00-$225,000.00 2 weeks ago
Associate - Supervision and Governance, Business Management, Corporate & Investment Banking, TD Securities Join to apply for the Associate - Supervision and Governance, Business Management, Corporate & Investment Banking, TD Securities role at TD Securities.. Job Description : TD Securities Corporate and Investment Banking provides a full range of financial advisory and capital-raising services to corporate and institutional clients globally.. FINRA Series 24 and Series 79 registered, or commitment to obtain within 6 months.. Experience in capital markets, compliance, audit, risk, control and governance.. Undergraduate Degree, CPA, MBA or other post-undergraduate education is preferred.
The Vice President, Treasurer is responsible for the strategic leadership and management of the company’s treasury operations.. The VP, Treasurer plays a critical role in supporting corporate growth, optimizing the capital strategy, and ensuring long-term financial stability.. Oversee day-to-day treasury operations, including cash management, bank account structures, and treasury systems.. Bachelor’s degree in Finance, Accounting, Economics, or related field; MBA or CPA/CFA preferred.. Chief of Staff to the Senior Vice President for Financial Affairs and Treasurer Scarsdale, NY $156,000.00-$203,000.00 2 weeks ago
Join to apply for the AVP/Associate Portfolio Manager role at The Harbor Bank of Maryland. The Associate Portfolio Manager plays a key role in supporting the credit underwriting, risk management, and portfolio monitoring functions of the commercial lending team.. Job Title: AVP/Associate Portfolio Manager. Partner with internal departments to process approved credit actions and coordinate with legal counsel on special assets and workout relationships.. 1–3 years of experience in credit analysis, commercial lending, or portfolio management (preferred).
Sr. Treasury Manager - Cash Management & Corporate Cards Pay Competitive. Job Description Req#: 27816 Overview Responsible for the supervision and performance of the Treasury operations functions including cash and bank account management, corporate finance information, preparation of financial and executive reports, and the management of corporate card programs and strategies.. Open/close JV bank accounts, as required, based on requirement of JV agreements, and ensure compliance with KYC requirements.. Oversees the virtual card program and collaborates with Accounts Payable on the enrollment of vendors in the appropriate programs.. #CB #LI-NW1 #LI-ONSITE About the company Lennar Corporation is a home construction company based in the census-designated place of Fontainebleau, Florida, with a Miami postal address.
We are looking for an Investment Banking Associate to join our Financial Institutions Group (FIG).. Escalate operational risk loss events, control deficiencies and risks that you identify to your line manager and the relevant risk and control functions on a timely basis. Prior FIG investment banking experience, specifically within the Asset Management sector, and a strong understanding of valuation, financial and operational metrics, merger modeling and transaction execution. FINRA Series 79 and Series 63 licenses. We thrive on the challenge to be our best, progressive thinking to keep growing, and working together to deliver trusted advice to help our clients thrive and communities prosper.
The Association Banking Relationship Manager is responsible for cultivating and expanding commercial banking relationships within the Community Association industry.. This role involves developing relationships with existing and prospective clients to grow deposit business, offering tailored Treasury Management products to optimize financial operations for property management companies, and participating in credit processes including underwriting, portfolio management, and risk management.. Analyze creditworthiness and financial statements to assess potential credit risk.. Maintain knowledge of bank credit policies.. Work with Portfolio Management on financial reporting and loan advances.
Conduct sales calls on current and potential clients in partnership with commercial lending relationship managers and branch managers, as well as generating other leads independently. Install and troubleshoot remote deposit capture scanners, ACH services, online wires and services along with future Treasury products as needed. Support Treasury Management area and Commercial Lending in other duties as requested. Minimum of five (5) years banking experience with at least two (2) years of Treasury Management experience or Retail Banking experience with proven outside sales experience. Treasury Management (required)