Finance & Banking Jobs Hiring Now
Browse the latest Finance & Banking roles. Manage assets, analyze investments, and optimize financial strategies for top institutions.
They offer a full range of integrated accounting, consulting and business management services from tax planning and audits to the most detailed analysis of acquisitions and financial restructuring.. They are currently searching for a Partner in Audit specializing in Private Equity Funds, to play a critical role in leading and managing the audit engagements for private equity funds (which may include venture capital funds and other closed-ended vehicle structures).. This position requires extensive experience in auditing financial statements, a deep understanding of private equity industry regulations, and the ability to provide strategic guidance to clients.. Apply technical expertise to address complex accounting and auditing issues relevant to private equity clients.. Strong knowledge of accounting principles, financial reporting, and regulatory requirements for private equity funds.
Monitor cash flow, optimize working capital, and manage liquidity.. Mergers & Acquisitions (M&A) and Due Diligence. Support financial due diligence for potential mergers and acquisitions.. Drive continuous improvement in accounting policies, financial systems, and automation.. If you are a results-driven finance professional with a passion for leadership and process excellence, we encourage you to apply!
TFO is seeking a talented and dynamic individual to fill the position of Investment Analyst in our Las Vegas, Nevada office.. The ideal candidate will be a finance professional with experience analyzing equity and fixed income investments including investments in private equity/credit and/or venture capital funds.. Assist in the underwriting decisions through quantitative (e.g. modeling IRR/MOIC) and qualitative (e.g. due diligence calls, third-party research, etc.). Serve as an Investment Committee observer \providing supplementary data and insights from underwriting and monitoring analyses.. Bachelor degree in Finance or Accounting required, MBA preferred
Our client, a well-respected tech company is seeking a Senior Financial Analyst.. Continue to drive process enhancement and process improvement in the reporting, forecasting, and budgeting functions via automation and system enhancements.. Work collaboratively with the Treasury function (13 week rolling cash flow forecasting). Variance analysis comparing actual results to budget and forecast. Private equity, investment banking, or strong corporate finance experience in the SaaS industry
This Is What You Will DoAt Webster Bank, our financial intermediation activities are organized broadly around three distinct lines of business: the Consumer Bank, the Commercial Bank, and HSA Bank. This position will be aligned with the Commercial Bank. Commercial Banking delivers solutions to a wide range of companies, investors, government entities, and other public and private institutions.. We help our clients achieve their business and financial goals through our deep expertise in Commercial & Institutional Lending, Commercial Real Estate, Capital Markets, Capital Finance and Treasury Management.. The Director, Portfolio Management role will work within the Commercial Banking Middle Market Division and will partner with portfolio and relationship managers to support (i) underwriting new commercial loans for private and publicly owned businesses and (ii) the ongoing portfolio management of existing lending relationships.. Responsibilities will include conducting underwriting due diligence, financial analysis of borrowers and guarantors, preparation of internal credit memos, presentation of underwriting diligence and portfolio management results to credit committee, monitoring covenant compliance, risk ratings and credit quality of the portfolio, and other activities in support of the region's overall goals.. Throughout the process the Portfolio Manager will interact with multiple internal and external stakeholders, including credit professionals, capital markets, company management, legal counsel, and operations personal.
Develop and maintain internal controls to safeguard company assets and ensure accurate financial reporting.. Oversee accounts payable, accounts receivable, payroll, and general ledger functions.. Manage cash flow and banking relationships to ensure adequate liquidity and financial stability.. Ensure compliance with tax filings and other regulatory reporting requirementsRequired Skills and Qualifications:Bachelor’s degree in Accounting, Finance, or a related field.. Proficiency with accounting software (e.g., QuickBooks, NetSuite, or similar ERP systems).
Finance Manager - Venture Capital. Exciting, profitable $4B DC-area Venture Capital firm is seeking a Finance Manager to support investment, operations and investor relations teams.. Help prepare and review quarterly portfolio company valuations including analysis of complex capital structures and implementation of valuation methodologies in accordance with ASC-820. Actively manage fund liquidity and line of credit including forecasting, compliance with partnership agreement and determination of timing of investor capital calls. Experience within PE, VC or alternative investments (or exposure to public accounting clients) is highly preferred
We are a fast-paced venture-backed startup that previously closed a Series A fundraising round with participation from strategic venture capital investors from the finance, energy, and insurance sectors.. You will be on the front lines of project structuring across primary lenders, secondary market purchases, project finance for large projects or portfolio transactions, and asset-backed securitization.. You'll be able to flex your skills across commercial banking, investment banking, and regulatory navigation, all with a renewable energy twist.. Minimum of 5 years of experience in either project finance or asset-based finance, preferably in the renewable energy sector.. Proven experience in renewable energy finance and related financial structures.
The team has a primary focus on originating Capital Call, Private Credit, and NAV based transactions with a focus on structured corporate financings, as well as involvement in financial markets (strategic and flow hedging of FX, and interest rates), as well as DCM/ECM. As a leading player in this space, we actively work with our clients to provide tailored solutions.. The deal captain will present greenlight memos in commercial committees, perform due diligence, oversee credit applications and ancillary documents, review and/or negotiate financing documents and material project agreements with the client, and lead discussions with Credit Risk and senior management;. You have experience in structures ranging from BDC corporate revolvers, capital call facilities, NAV facilities, SPV financing and Middle Market securitization. Experience: Minimum 8 years of investment / corporate banking experience preferably in the fund finance and/or securitization sector, and ideally with working experience in Americas;. In addition to comprehensive health benefits, a generous 401k savings plan, and competitive PTO, ING provides a broad array of benefits including adoption, surrogacy, and fertility services; student debt assistance; and subsidies for expenses associated with commuting and fitness.
Accountable for adherence to compliance standards including Bank Secrecy Act (BSA).. Assist CLO’s and Credit Administration in renewals, extensions, modifications, covenant testing, and spreads. Obtain credit concurrence as client advocate.. Participate in Construction Administration – Reconcile draw packages (sworn statements & AIA’s), order & review inspections, order date down endorsements & title updates, and interact with clients as necessary.. Highly developed written and oral communication skills including the ability to write clear, concise and cogent credit correspondence.
Description :Department Overview:US Treasury Financial Analyst III is a member of TD's US Treasury Internal Controls team, whose objective is to supplement control activities over US Treasury processes to ensure results are complete and accurate, with effective controls in place.. This role provides controls oversight to include testing US Liquidity reports and US Treasury processes, testing EUC and process changes, and implementing process improvements and QA checks.. Job Summary:The Financial Analyst III provides planning, forecasting, reporting and financial analysis support for assigned line(s) of business and/or at the total segment level under the guidance of financial management.. Who We Are:TD is one of the world's leading global financial institutions and is the fifth largest bank in North America by branches/stores.. Total Rewards at TD includes base salary and variable compensation/incentive awards (e.g., eligibility for cash and/or equity incentive awards, generally through participation in an incentive plan) and several other key plans such as health and well-being benefits, savings and retirement programs, paid time off (including Vacation PTO, Flex PTO, and Holiday PTO), banking benefits and discounts, career development, and reward and recognition.
Description The Equipment Finance Regional Director is responsible for marketing a range of both equipment finance lending and leasing products to medium and large commercial clients within assigned territory.. The Regional Director will also work with Middle Market Relationship Managers and Treasury Management Officers to market other commercial bank products and services.. Expands existing knowledge base of equipment finance and other commercial banking products and services, including loan policy, documentation, structuring and regulatory requirements.. Minimum 10 years of equipment finance sales experience. Possesses excellent equipment finance lending and leasing product knowledge.
Compensation: ~$120,000 Base + Bonus + Benefits (medical, dental, vision, unlimited PTO, 401(k) matching). They’re redefining a fragmented market with a blend of organic momentum and strategic acquisitions—driving an impressive arc: $2B in revenue two years ago, $2.5B last year, and a projected $3B this year.. You’ll join a team of A+ talent—drawn from investment banking, private equity, and top public accounting firms—under the guidance of an executive lineup with unmatched expertise.. Experience: 2+ years in strategic finance, investment banking, transaction advisory, or private equity.. This is a team shaping a business with ambition and finesse, offering a strong base, bonus, and benefits like medical, dental, vision, unlimited PTO, and 401(k) matching.
Insero Talent Solutions has partnered with a manufacturing/distribution company to recruit a Corporate Controller in Rochester, NY.. The Corporate Controller is a key leadership position responsible for overseeing the financial operations and ensuring the accuracy, integrity, and compliance of the organization's financial reporting.. Lead and oversee general ledger functions, including accounts payable, accounts receivable, and fixed assets.. Establish and maintain efficient accounting processes and internal controls to safeguard assets and ensure financial accuracy.. Bachelor’s degree in Accounting, Finance, or a related field; CPA or CMA certification required.
Please only apply for this position if you have extensive M&A and private placement experience with a middle-market or bulge bracket investment bank.. Dresner Partners, a leading middle-market investment bank headquartered in Chicago, is currently seeking to hire an experienced associate for its Chicago office.. We offer our deal team members the opportunity to gain extensive experience across multiple industries and transaction types, including mergers & acquisitions, financings, and valuations.. Candidate ideally possesses a Series 79 and Series 63 license. At least three years of relevant experience (e.g., investment banking, valuation, commercial banking, corporate development, etc.)
Strategy and Transactions - Investment Banking - Debt Capital Markets Analyst (Manager) (Multiple Positions), Ernst & Young LLP, Charlotte, NC. Provide clients with objective advice surrounding strategic corporate finance and capital raise solutions.. Work closely with investment banking industry teams to design flexible, cost competitive capital solutions for acquisitions, growth financings, refinancing's and restructurings.. MINIMUM REQUIREMENTS: Must have a Bachelor's degree in Business, Finance, Accounting, Economics or a related field and 5 years of progressive, post-baccalaureate related work experience.. Must have 2 years of experience identifying key issues and potential areas of credit, valuation and transaction risk within engagements.. You’ll also be granted time off for designated EY Paid Holidays, Winter/Summer breaks, Personal/Family Care, and other leaves of absence when needed to support your physical, financial, and emotional well-being.
Are you ready to step out of public accounting, but unsure what direction you want to take?. Our rotational consulting program is created especially for you.. You’ll complete several projects over approximately 2-3 years, gaining the additional experiences, skills, and connections you need to determine your best path forward.. Through this program, you increase your market value by becoming a highly-coveted candidate with both public and industry experience.
As a leading designer, manufacturer, distributor, and retailer of bedding products worldwide, we know how crucial a good night of sleep is to overall health and wellness.. The North America Treasury Analyst is a key source of financial analysis and leadership in a variety of process improvements and project-oriented activities.. Assist in preparation of the global cash and debt forecast and ensure sufficient short-term liquidity. Certified Public Accountant (CPA). Certified Treasury Professional (CTP)
Proven experience as a Director of Finance or similar role.. General knowledge of golf and the golf industry is preferred. Oversee all aspects of the association's bookkeeping, including Accounts Payable and Accounts Receivable. Provide strategic financial guidance and support to the Executive Director and Board of Directors. Flexible work from home options available.
This role is responsible for overseeing financial reporting, budgeting, internal controls, and working capital management across multiple entities.. The position also involves credit management, tax compliance, IT oversight, and contract review, ensuring alignment with business objectives.. Oversee accounts payable, accounts receivable, IT, audit, pensions, and contract processes.. Bachelor’s degree in finance, accounting, or a related field; CPA, CIMA, or ACCA preferred.. Strong Cost Accounting experience, a plus if you have set up costing within SAP