Finance & Banking Jobs Hiring Now

Browse the latest Finance & Banking roles. Manage assets, analyze investments, and optimize financial strategies for top institutions.

Retail Banking Seasonal Associate5 hours ago
First National Bank of Pennsylvania - Raleigh, NC

As a leading diversified financial services brand and a 100% employee voted National Top Workplace, FNB offers a wide range of opportunities for individuals growing their careers.. You'll regularly be the face of FNB and will regularly float between retail branches in an assigned region.. The Retail Banking Seasonal Associate will work ideally from mid-May to mid-August and must be available during all hours of branch operations as needed.. Processes deposits, withdrawals, transfers, payments, night deposits, mail, check orders, currency transaction reports, ATM action updates and requests MasterCard/Visa/Discover card transactions and prepares and issues money orders, cashiers and travelers checks.. FNB provides all applicants and employees a discrimination and harassment free workplace.

Controller6 hours ago
Jobbot - Moody, AL

The ideal candidate will bring a wealth of experience in financial accounting, forecasting, and analysis, along with a deep understanding of general ledger functions.. You will have the opportunity to showcase your expertise in month-end closing, financial analysis, and GAAP compliance.. Ensure compliance with all internal controls, regulatory requirements, and professional standards.. Coordinate the preparation of regulatory reporting.. Develop and document business processes and accounting policies to maintain and strengthen internal controls.

Senior AccountantMar 04
Princeton MedSpa Partners - St Petersburg, FL

Job Title: Senior Accountant Reports to: Controller Position Summary The Senior Accountant will be responsible for general ledger maintenance, reconciliations, financial reporting, and assisting with the integration of newly acquired entities.. Lead the calculation of commissions ensuring the calculation is done in accordance with policies and provider contracts Ensure compliance with GAAP and regulatory reporting requirements for healthcare services.. Accounts Payable & Cash Management Process vendor invoices, employee reimbursements, and expense reports in accordance with company policies.. Mergers & Acquisitions (M&A) Support Assist in the financial onboarding and integration of newly acquired MedSpas Reconcile acquired entities’ financials to ensure seamless transition into the company’s reporting structure.. Experience with ERP and accounting software (NetSuite, QuickBooks, Sage Intacct, or similar).

Quantitative Risk Management Intern13 hours ago
Busey Bank - Champaign, IL

You will be exposed to topics such as interest rate risk in the banking book, liquidity and funding risks, capital requirements, and credit risks.. Analyze financial market data and macroeconomic indicators to assess risk exposure and performance. Strong quantitative and analytical skills with experience in risk modeling, statistical analysis, and data visualization.. Proficiency in programming languages such as Python, R, MATLAB, or SQL.. Master's degree in finance, economics, quantitative finance, statistics, or a related field, or currently enrolled in a Quantitative master's program - finance, economics, or related area

Vice President FinanceMar 09
Churchill Downs Incorporated - New Orleans, LA

About the Company - The VP of Finance leads all financial activity and analytical leadership to support the Racing, Casino Gaming and Off-Track Betting business units at the Fair Grounds Race Course and Slots/OTBs.. About the Role - This includes accounting, financial analysis, cash operations, revenue audit, and purchasing.. Responsible for providing financial analysis and decision support to the property leadership team and corporate financial planning and analysis, as needed, related to the property.. Management of Purchasing Operations, Cage and Credit Operations, Revenue Audit, Cash Drop & Count Operations.. Extensive experience in financial accounting, treasury management, budgeting, and cost accounting.

Vice President of Finance5 days ago
Apex Pavers & Pools - Stuart, FL

Apex Pavers & Pools is a leading construction company specializing in the Swimming Pool Construction and Hardscape industries.. With a track record of excellence and rapid growth, we are seeking a dynamic Vice President of Finance to lead our financial strategy and operations.. Project Finance & Job Costing. Lead and mentor the finance team, including an AR specialist and AP specialist.. ✅ Technical Skills: Proficiency in financial management software (e.g., Sage, QuickBooks, Procore, or similar).

Commercial Lendera day ago
WorldBridge Partners - Leaders in Recruiting And Executive Search - St Jacob, IL

Our client is a growing, community-focused bank in Madison County, IL, dedicated to building strong relationships with local businesses and providing tailored financial solutions.. With a commitment to personalized service and long-term partnerships, the bank is expanding its commercial lending team and seeking a motivated Commercial Lender to drive growth and support the needs of business clients.. This role requires a proactive, relationship-driven professional with strong credit analysis skills and a deep understanding of commercial lending products.. Collaborate with internal departments, including credit, underwriting, and loan operations, to ensure seamless loan processing and portfolio management.. 3+ years of commercial lending experience , preferably within a community bank setting.

Treasury Risk & Capital Manager6 hours ago
YAMAHA MOTOR Co. Ltd - Cypress, CA

The Global Risk and Capital Manager executes and improves: YMFC's interest rate risk measurement, management, and monitoring; optimal capital structure planning and execution; liquidity risk management; and governance.. The Risk and Capital Manager will also coordinate the Treasury Management Committee (TMC), prioritize agenda topics, conduct meetings, and prepare material to be presented at the TMC; support the preparation of Board and Committee reporting on treasury and risk KPIs. This position also works closely with other global and regional groups, including Treasury Banking, Treasury Capital Markets, FP&A, Corporate Planning and Finance, credit risk, and global risk management.. Financial Risk Management : Develop and enhance existing frameworks, models, reporting and processes regarding Asset Liability Measurement, Liquidity Risk Management, Funds Transfer Pricing (FTP), Interest Rate Risk Management, and Market Risk Management.. Manage interest rate risk by measuring exposure and recommending funding strategies, balance sheet positioning and hedging strategies.. Direct knowledge of Asset Liability Management (ALM) strategies and processes.

Sr. Financial Analyst6 hours ago
Evotek Recruiting - Kendallville, IN

Job Description Senior Financial Analyst Drive Impact.. We’re seeking a Senior Financial Analyst to join a dynamic corporate finance team and play a pivotal role in driving financial insights, strategic planning, and operational excellence.. Oversee cost allocations across departments and international business units.. Certifications: CPA, CMA, or MBA is a plus but not required.. Major Medical Excellent 401(k) Match Work-from-home flexibility as needed Generous PTO Promotional/Career Advancement Opportunities Requirements Financial Analyst, Corporate Accounting, Budget Forecast, Budget, Financial Analysis, AS400

Manager Assurance Services5 hours ago
Bizjobz LLC - Lakewood, NJ

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.

Investment Analysta day ago
Tang Industries, Inc - Las Vegas, NV

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

(R) Investment Banking Full - Time Analyst Program - Technology at TDa day ago
University of the District of Columbia - San Francisco, CA

We are considering candidates interested in joining the Technology Investment Banking Team based in San Francisco, CA as part of TD Securities' 2025 Investment Banking Full-Time Analyst Program.. The curriculum includes coursework in accounting, communication skills, debt and equity capital markets, Excel, financial analysis, modeling, and valuation.. Assists in the analysis of clients' financial situations, industry and market data, and M&A opportunities.. Undergraduate degree in Business (Accounting or Finance) or Mathematics/Economics.. If you are an applicant with a disability and need accommodations to complete the application process, email the TD Bank US Workplace Accommodations Program at USWAPTDO@td.com.

Portfolio Manager, Middle Market5 hours ago
Webster Bank - Jericho, NY

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.

Experienced Investment Banking AssociateMar 07
Dresner Partners - Chicago, IL

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.)

Director of Accounting5 hours ago
Pacific Neuropsychiatric Specialists Inc - Irvine, CA

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).

Treasury Manager - Hybrid8 hours ago
Whitecap - Atlanta, GA

Responsible for managing all aspects of the company’s banking administration, operational cash management, and liquidity management activities, including strategy, compliance, and reporting.. Monitors the internal controls and business continuity procedures relating to all treasury activities (particularly funds movement).. Reviews daily short-term investing activities/short-term debt repayments or draw requests.. Treasury Management System implementation/experience preferred.. Certified Treasury Professional (CTP) certification is preferred.

Financial ControllerFeb 14
Cyient - Hartford, CT

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!

Finance Manager18 hours ago
Cordia Resources by Cherry Bekaert - Arlington, VA

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

Associate Director of Renewable Structured Financea day ago
Powerhouse - Boston, MA

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.

Treasury Liquidity Manager9 hours ago
Saxon Global - Columbus, OH

Ensure compliance with ALCO Policy, Contingent Funding Plan (CFP), Liquidity Risk Management Framework, Capital Policy, and Capital Contingency Plan (CCP) for Treasury risk management. Support Huntington's Contingency Funding Plan (CFP) including liquidity stress testing assumption updates, coordinate table-top testing, and maintain comprehensive documentation for sections of the ALCO Policy. 3+ years of Corporate Treasury experience with good working knowledge of Corporate Treasury risk management activities including liquidity, funding, capital, and interest rate risk. Required Skills : Good Communication Skills; Treasury Risk Management OR Risk Management; Auditing; Internal Liquidity Stress Testing (ILST). Type of project :0010993 | Monument Consulting @ Huntington Bank