Finance & Banking Jobs Hiring Now

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

Corporate Controller (Family Office / PE)Mar 05
The Premiere Group - Columbia, SC

The Corporate Controller will oversee multi-entity accounting consolidation, maintain internal controls, and implement best practices aligned with the needs of a dynamic family office structure.. Lead/liaison internal and external audit processes, tax compliance efforts, and regulatory reporting, working closely with auditors and external advisors.. Experience and strong understanding of multi-entity financial consolidation, investment accounting, and private equity structures.. 8+ years of progressive experience in accounting, preferably within a private equity, family office, or multi-entity environment.. Experience with investment accounting, multi-entity financial consolidations, and financial reporting for private equity-backed companies.

Managing DirectorMar 10
Physician Growth Partners - Chicago, IL

Physician Growth Partners (PGP) is a leading sell-side investment banking and transaction advisory firm specializing in healthcare services.. We have built a strong reputation representing founder-owned healthcare providers in mergers and acquisitions with private equity and strategic buyers.. As a Managing Director at PGP, you will be responsible for originating new client relationships, securing engagements, and leading transaction execution from start to finish.. Bachelor’s degree required; MBA or CFA preferred.. This is an exceptional opportunity for a highly motivated investment banker looking to leverage their origination and execution expertise in a dynamic and rapidly growing firm.

Chief Financial OfficerFeb 15
Bulwark Media - Washington, DC

Work with cross-functional teams to optimize revenue streams, such as ad sales, subscriptions, licensing, and SaaS models.. Proven experience as a CFO or senior finance executive in the media, technology, or digital content industry.. Strong background in fundraising, including venture capital and private equity.. Knowledge of SaaS models, digital content monetization, or advertising revenue strategies is a plus.. CPA, CFA, or MBA in Finance preferred.

Hedge Fund Investment Analyst Industrials20 hours ago
Long Ridge Partners - New York, NY

Our client is a $16bn global multi-strategy, multi-manager hedge fund with a track record spanning over 20 years.. They are looking for an Investment Analyst to join one of the most prestigious Industrials Investing teams at the fund.. As a Public Equity Investment Analyst with a specialized focus on industrial stocks, you will play a pivotal role in shaping the investment strategy and driving performance in this sector.. · Asset Valuation: Develop comprehensive valuation models to assess the intrinsic value of industrial stocks, utilizing various valuation methodologies, including DCF, comparable analysis, and NAV. · Market Analysis: Stay up-to-date with macroeconomic trends, interest rates, and industry developments that could impact industrial stocks, providing insights to the investment team.. · 1-5 years of work experience in equity research or investment banking

Senior Financial AnalystFeb 15
Castaeda Consulting Group (CCG) - Dallas, TX

We are seeking a Senior Financial Analyst looking to join a well-established and dynamic company in Dallas with great leadership and great growth potential.. The ideal candidate will have over 2-5 years of finance experience and good exposure to building financial statements, someone that can help build from the ground up, and experience with consolidations, forecasting and budgeting.. Prepare financial modeling scenarios, which includes preparing what-if scenarios, in a quick and efficient manner. Investment banking experience highly preferred. Bachelor's degree or equivalent in Finance or Accounting

Treasury AnalystMar 01
American Vanguard - Irvine, CA

American Vanguard was founded in 1969 and is a $600M diversified agricultural and specialty products company focusing on crop protection, turf and ornamental markets, and public health applications.. We are seeking a Treasury Analyst with strong analytical skills and experience to add significant value to the transformation of our organization including implementing improved treasury processes.. 3+ years of corporate treasury experience, preferably at a public company, including cash forecasting, SOX compliance, and investment reporting. In-depth knowledge of bank services, cash management structures, account administration, payment processing, and liquidity optimization. Our offices are directly across from Orange County Airport (SNA) on the border of Newport Beach and Irvine.

PE Secondaries GP & LP - AssociateFeb 15
Glocap - New York, NY

Our Client is a multi-billion global private equity firm headquartered in New York City specializing in secondary investments in leveraged buyout funds, as well as co-investments alongside those general partners.. - Assist the investment team in conducting due diligence on various private equity funds and managers and assess the merits of investment opportunities. - Analyze the long-term viability of portfolio companies, the market for their products/services, their financing needs, and the fund's exit options;. - Portfolio management, quarterly and annual portfolio reporting;. - 1-4 years of experience in investment banking, private equity or investment management

Treasury 1 - Year InternshipFeb 15
Bradesco Bank - Coral Gables, FL

As a Treasury Intern at Bradesco Bank, you will play a pivotal role in managing the Bank's cash flow, investments, and financial risk.. Reporting to the Treasury Desk Funding Officer, you will collaborate closely with various departments to ensure efficient cash management, optimize investment opportunities, and mitigate financial risks.. Prepare accurate and timely reports on cash flow, liquidity, and investment activities for management and external stakeholders.. Monitor daily cash balances and forecast cash flow to ensure adequate liquidity for operating needs.. Help develop and implement hedging strategies to mitigate exposure to market risks, such as interest rate swaps or currency forwards.

Treasury Banking Manager, Strategic Initiatives2 days ago
Remitly - New York, NY

Treasury Banking Manager, Strategic Initiatives. We are seeking an experienced Treasury Banking Manager to join our Strategic Initiatives division in New York, #Remote.. Develop and maintain a relationship management framework and cadence for all banks, ensuring a consistent approach across the Treasury team and broader Finance team.. Develop and implement strategies to optimize Treasury's banking structure, liquidity management, and cash flow allocation.. Provide advice and recommendations to the Group Treasurer on complex banking and finance matters, and collaborate to identify and escalate pricing opportunities and challenges.

Director - Global Exposure Management - Finance4 days ago
American Express - Honolulu, HI

The team is responsible for overseeing all aspects of our foreign exchange (FX) and interest rate risk (IRR) management programs.. This includes driving our market risk management strategies, recommending investments and hedging activities, and ensuring compliance with our risk management policies.. Perform end-to-end analysis of cross currency exchange (FX) rate risk and recommend hedging actions.. Work with asset-liability management, funding, and capital market teams on determination of interest rate risk and recommend hedging actions.. Deep knowledge and experience in interest rate risk and exchange rate risk assessment and mitigation activities.

Director, Corporate Treasurya day ago
Mastercard - Harrison, NY

Title and Summary Director, Corporate Treasury Overview: The Corporate Treasury team performs all global treasury activities for Mastercard, including capital planning analysis, rating agency relationships, foreign exchange risk management and trading, cash management, cash positioning, global funding & liquidity management, cash investments, pensions asset-liability management, and various capital markets transactions (debt issuances, equity share buy-back) including credit facility management.. Role: The Director (a People Leader with management responsibilities) will lead the liquidity, cash management, and treasury operations team.. Innovate strategic approaches to global cash and liquidity management to ensure efficient allocation of capital with an emphasis on the repatriation of earnings (cash) to the US parent. Work with Treasury capital planning and capital markets teams to formulate external funding recommendations. Coordinate with other cross-functional teams including finance, tax, legal, financial planning and analysis, controllers to deliver on company-wide objectives

Investment Banking Associate Software / AI Elite Boutiquea day ago
Oaklands Global - San Francisco, CA

Key ResponsibilitiesAssist senior bankers in sourcing potential acquisition targets and draft LOIs with target companies.. Performing extensive valuation, due-diligence, and pricing analyses as well as financial modelling.. Coordination of transaction processes, including capital raises and advisory transactions.. Undergraduate or postgraduate degree in Business, Accounting, Finance or Economics from a top tier schools.. FINRA Series 63 and 79 registrations.

Finance / Controllera day ago
Ives & Associates - Huntersville, NC

Finance / ControllerWe 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.

Associate - ABL Portfolio ManagementFeb 15
Fifth Third Bank - Chicago, IL

The Associate, ABL Portfolio Management participates in the execution and achievement of the Fifth Third Commercial Bank’s Asset Based Lending (ABL) strategic initiatives through day-to-day relationship management of a basic portfolio of ABL customers.. Associates are directly accountable for managing a basic portfolio of accounts through their review of financial statements, collateral reporting (including borrowing base certificate analysis, appraisals of M&E and Real Estate along with any additional 3rd party work such as Field Exams), proactive monitoring, and partnership with the appropriate Relationship Managers.. Bachelor's degree in Business (e.g. Business Administration, Finance, or Accounting).. 3 years credit analysis and/or loan review experience in Commercial Banking.. In addition to the base salary, this role is eligible to participate in an incentive compensation plan, with any such payment based upon company, line of business and/or individual performance.

Director of Capital Marketsa day ago
Energetic Insurance - Boston, MA

You may come from commercial or investment banking or have experience with commercial real estate lending.. Our flagship product enables financing of commercial renewable energy projects.. We are a fast-paced venture-backed startup that previously 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.

Manager Business Controls, Internal Audita day ago
Light & Wonder, Inc - Las Vegas, NV

Position SummaryJob Summary:The Business Controls Manager is part of the Internal Audit organization with a dotted line responsibility to the business unit (BU) they support.. This role is responsible for leading and executing on internal control discipline and operational excellence within a BU. The Business Controls Manager will act as a consultant to the BU and is responsible for issues leadership by providing administrative support to gather and organize data to track, report, and manage internal compliance control gap issues and mitigation plans.. Demonstrated communication skills (including active listening, writing, presenting, and emotional intelligence) commensurate with an Audit Manager. Experience in Blackline is a significant plus. Certified Internal Auditor (“CIA”) or Certified Public Accountant (“CPA”)

Treasury Analyst6 hours ago
RAND - Santa Monica, CA

This role manages a broad range of day-to-day Treasury activities associated with liquidity, investments, financing, banking controls, and foreign exchange hedging.. Assists with corporate insurance and enterprise risk assessment.. FX hedging - handles all aspects of FX hedging, including:Working with contracts and research staff to determine expected FX inflows,Recommending and pricing optimal hedges by referencing FX futures, forwards, and options markets,Executing and managing (e.g., rolling, drawing down, swapping) hedge contractsMaintains internal FX position report and reconciles to external reporting.. Confirm accuracy of bond and swap invoicesIn concert with investment bank, tests RAND swaps’ counterparties’ MTMsAnnual external audit (e.g., coordinate provision of RAND Treasury materials for audits)Assist with corporate insurance administration.. Fully remote status is an option for this position.

Data Analyst - Finance / Banking5 days ago
Data Ideology, LLC - Pittsburgh, PA

Data Analyst - Finance / Banking – Full-time (FT). Conduct risk analysis and support regulatory compliance initiatives, ensuring adherence to relevant financial standards (e.g., Basel III, MiFID II, IFRS).. Experience with analytical programming languages such as SQL, PL/SQL, R, Python, or similar.. Knowledge of data analytics within a data warehouse environment (e.g., Oracle, SQL, Google Cloud, AWS).. Remote work from home.

Director, Accounting4 days ago
AAA Mid Atlantic - Wilmington, DE

AAA is hiring for a Director, Accounting to join our team!. Other benefits include a complimentary AAA Premier Membership, Health & Wellness Program, Health Concierge Service, and Short Term/Long Term Disability. Advises lines of business when exploring cash management relationships for the organization (Bill Matrix, Pcard, Data Line, Merchant Services, PNC Bank, etc. Manages the process by which portfolio management responsibilities may be competitively bid and any consequent consolidation of investment management.. Monitors all investment portfolio holdings and responsible for all performance reporting (fixed income, equity, and short-term holdings) for all AAA Club Alliance entities.

Vice President Finance2 days ago
Catalyte - Oakland, CA

Catalyte is seeking a VP of Finance to provide leadership and critical control of all aspects of the finance function following the policies, goals, and objectives established by the CEO and Board.. The VP of Finance will support Catalyte’s strategic vision and serve as a tactical hands-on day-to-day leader.. As an effective thought partner and trusted advisor, the VP of Finance will be highly engaged with the CEO, the senior leadership team, and the Board.. Importantly, the VP of Finance will be able to work effectively in a fast-paced, entrepreneurial environment to identify issues on time and use their people leadership and influencing skills to take the necessary steps to drive a solution.. Lead all financial aspects of the company, including financial reporting, budgeting, audit, tax, accounting, payroll, treasury, forecasting, and financial planning