Finance & Banking Jobs Hiring Now
Browse the latest Finance & Banking roles. Manage assets, analyze investments, and optimize financial strategies for top institutions.
Global leading organization is seeking a highly skilled Vice President Finance and Controller to oversee and manage all financial aspects of the organization.. Manage regulatory reporting and ensure compliance with all applicable laws and regulations.. Conduct general ledger reconciliation and balance sheet reconciliation to maintain accurate financial records.. Strong knowledge of regulatory reporting requirements and compliance standards.. Proficiency in general ledger reconciliation, accounts receivable, and balance sheet reconciliation.
The Senior Treasury Analyst plays a critical role in the effectiveness of the Treasury Department by working across all disciplines of Treasury Operations and cross functionally to ensure all department requirements and company objectives are met or exceeded.. The Senior Treasury Analyst is primarily responsible for cash forecasting and cash management, as well as, leveraging banking relationships to identify and implement enhanced business processes.. Furthermore, the Senior Treasury Analyst will support the field organization with their treasury needs, including due diligence of potential acquisition targets and be a member of the acquisition integration team.. Proficient in all functions of treasury cash management system, utilizing it to set daily cash position, initiate debt principle and interest payments, interface to general ledger and to accurately analyze and report on cash balances and liquidity. 3+ years of experience in cash and liquidity management, financial analysis, risk management and treasury operations and controls and payment systems preferred
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
The Controller plays a vital leadership role, overseeing all financial operations; managing essential accounting functions, financial reporting, budgeting, and internal controls, while delivering strategic financial insights to senior management.. Reporting to the Vice President of Operations and Technology, the Controller will be instrumental in ensuring the organization's financial stability and driving its growth.. Experience in managing accounting teams and overseeing financial reporting and budgeting processes.. Expert knowledge of U.S. GAAP, financial reporting standards, and regulatory compliance. Experienced in strategic planning, financial modeling, and assessing investment opportunities.
Regulatory Reporting Data Quality Analyst - Commercial Banking. CIB, asset based lending (ABL), equipment finance. This particular role would sit within our client's Commercial Banking and Lending space, specifically on their regulatory Reporting Data Quality team.. They’re focused on FR Y-14Q document collection for schedules H1/H2 quarterly reporting to the Federal Reserve Bank. We do not discriminate or allow discrimination on the basis of race, color, religion, creed, sex (including pregnancy, childbirth, breastfeeding, or related medical conditions), age, sexual orientation, gender identity, national origin, ancestry, citizenship, genetic information, registered domestic partner status, marital status, disability, status as a crime victim, protected veteran status, political affiliation, union membership, or any other characteristic protected by law.
ecoplexus.com ) is a rapidly growing renewable energy development firm headquartered in San Francisco, with offices in North Carolina, Dallas, Mexico City, and Tokyo.. The Company primarily focuses on utility scale solar, solar & storage, and stand-along storage development.. Based in the U.S. (remote), the Associate will assist Ecoplexus' U.S. based project finance and development teams by performing & coordinating financial analysis related to project acquisitions and development, modeling debt and tax equity financial structures, and managing closing activities for project M&A, debt, and tax equity financings.. Assignments will include modeling project economics, auditing analyst work products, organizing project due diligence, managing relationships with lenders, tax equity investors, and consultants, and coordinating with internal teams to support contract negotiation and closing processes.. The ideal candidate will have the following: Solid understanding of project finance concepts, debt & tax equity structures, and deal execution Strong quantitative aptitude with advanced Excel and modeling skills, VBA and SQL skills a plus.
By joining our rapidly growing Business Transformation practice (and working closely with our Private Equity practice) you will serve as a trusted partner to our premiere PE-backed clients.. With support from experienced leaders and a dedicated coach, you will join a collaborative community that invites you to contribute beyond the scope of client delivery, including team development and participating in business development activities.. If you enjoy business transformation and driving value creation in the fast-paced world of Private Equity, this is a unique opportunity to become part of our growing and collaborative team!. What you'll do Serve clients within the “Office of the CFO” at private equity portfolio companies, creating a diagnostic framework and enhancing the effectiveness of the finance function.. Experience executing on end-to-end transformation services across people, process and technologyExperience in working with transactions and related integration activitiesExperience delivering in high pace environments with competing priorities and multiple key stakeholdersExperience conversing with the Controllership/Accounting and FP&A teamsExperience with agile methodologiesExpertise of Microsoft Excel (, macros, pivot tables, etc.)
Senior Accountant, Finance Integration; Remote OpportunityThe Integration Senior Accountant will fill a key role within the Corporate Finance organization.. Act as liaison with facility management and accounting personnel in budget preparation, financial close, accounting research, internal control compliance, external financial reporting, and external audit support.. Experience using Lawson, Oracle, Meditech, Cerner, or OneStream is preferred.. Familiarity with or experience in developing internal controls; andSelf-directed, self-motivated, detail-oriented, and assertive.. ENVIRONMENTAL/WORKING CONDITIONS: Remote work assignment.
The Director of Asset Management is responsible for achieving the strategies put forth by the Senior Vice President (SVP) of Asset Management.. Support the Multifamily Division and the Real Estate Division for Sunroad Enterprises.. Collaborate across the vertical on unit renovations, clubhouse, and property improvements.. Strong foundation in multifamily investing and portfolio management with a minimum of five (5) years of multifamily related experience.. Experience working with the investing arm of a large Private Equity firm.
Citi does business in more than 100 countries, providing consumers, corporations, governments, and institutions with a broad range of financial products and services, including consumer banking and credit, corporate and investment banking, securities brokerage, and wealth management.. Contributes to the design, roll-out and governance of transformation initiatives for Market Risk RWA.. Work experience in Basel teams and have knowledge of Basel III Market Risk RWA and Fundamental Review of Trading Book (FRTB).. Direct experience with Market Risk RWA calculation and reporting.. Relevant experience in regulatory reporting, capital management or risk management roles.
The Summer Analyst Internship program offers an opportunity for college undergraduates interested in finance and corporate / investment banking to actively participate in this fast-paced and challenging industry.. Liaise among various internal and external stakeholders including middle and back office, Agent Banks and participating Banks involved on the ongoing portfolio management of loan transactions.. Engage in shadowing opportunities which include collaborating with senior and junior mentors, completing assigned projects, attending meetings, giving presentations, participating in formal training, attending speaker series, networking, and social events.. Technical Knowledge Advanced knowledge of major computer applications including Excel, PowerPoint and Word, knowledge of finance applications (Bloomberg, CapitalIQ, etc. Some financial modelling skills, ideally project finance modelling.
From research and strategy to implementation and analysis, MNI offers the print and digital products and services needed to efficiently and effectively reach audiences in key markets.. The Finance Manager/Analyst will work closely with Media Now Interactive’s (MNI) Management and Corporate Finance to manage the monthly closing process, create and support annual budgets, reforecasts and reconciliations.. Including expense processing and tracking, monthly sales commissions, financial modeling, T&E, ad hoc analysis, etc.. Key Assignments and deliverablesMaintain P&L & Balance SheetCompliance Budgeting Financial ModelingRevenue and expense analysisLiaison with corporate finance for Credit & Collections, billing, etc.. Provide analytics to management Manage spreadsheets for quarterly reporting by fiscal and calendarProvide sales revenue reporting and prepare accurate sales incentive plan calculations and payments.
Our signature ingredient is Haitian Black Castor Oil as well as Moringa Oils. Kreyol Essence products are formulated specifically for those with dry hair, dry skin and curly hair.. From working with our CEO and COO on budgeting, payroll, and deduction management to supporting the team on administrative tasks, this individual takes joy in finance and administrative management.. Oversee accounts payable, accounts receivable, payroll, and general ledger functions.. Oversee the implementation and maintenance of accounting software (e.g., QuickBooks, NetSuite, Billing.com. Shopify).. Experience working with Consumer Packaged Goods (CPG) companies and e-commerce is required.
Our services include: natural gas gathering, treating, processing, transportation and storage; NGL transportation, fractionation, storage and import and export terminals; crude oil gathering, transportation, storage and terminals; petrochemical and refined products transportation, storage and terminals; and a marine transportation business that operates primarily on the United States inland and Intracoastal Waterway systems.. The partnership’s assets include approximately 50,000 miles of pipelines; 260 million barrels of storage capacity for NGLs, crude oil, refined products and petrochemicals; and 14 billion cubic feet of natural gas storage capacity.. The Senior Accountant – Regulatory Reporting and Compliance is primarily responsible for preparing and filing required reports to the Federal Energy Regulatory Commission, Railroad Commission of Texas, and to other federal and state agencies.. Analyze general ledger data to ensure proper recording per the FERC Uniform System of Accounts.. Experience with regulatory accounting and reporting (FERC and/or Texas Railroad Commission) is preferred.
With facilities around the globe, Anord Mardix leads in critical power infrastructure, supporting a myriad of industries, from financial institutions to data centers.. To support our extraordinary teams who build great products and contribute to our growth, we're looking to add a Finance Manager located in Henrico, VA.. Financial Reporting and Consolidation: Oversee the consolidation of monthly group financial statements and prepare comprehensive reporting packs for leadership, while creating tailored bi-monthly reports for private equity investment teams.. Tax Compliance and Credit Control: Ensure compliance with income and indirect tax requirements across jurisdictions, and maintain effective credit controls and cash collections for all debtors.. General background in cost accounting, revenue, forecasting, GL, AP/AR , balance sheets.
Businesses benefit from small business loans, treasury and cash management, and merchant services.. Institutional clients can access investment banking, commercial lending, capital markets, and foreign exchange solutions.. The ideal candidate will be proficient in Java 17, Spring Boot 3.0, Angular 14+, JavaScript, PL/SQL (Oracle 19c), and database design & optimization.. Nice To Have Experience with Apache Spark for data processing.. Exposure to containerization and deployment platforms such as OpenShift.
Citizens is seeking a Managing Director to join the Financial Institutions Group (“FIG”) within Capital Markets & Advisory (“CM&A”).. Citizens CM&A is a leading middle market investment bank that supports clients across a focused set of industry sectors (Financial Services, Aerospace Defense & Government Services, Business Services, Consumer, Gaming Lodging & Leisure, Healthcare, Industrials, Technology & Communications, Transportation & Logistics).. We are seeking a Managing Director who has specific experience in the mortgage finance (covering mortgage originators, mortgage REITs, and mortgage services) space and would come in with established Corporate and Financial Sponsor relationships within the sector to help facilitate strategic dialogue with existing and new bank customers leading to fees in Mergers & Acquisitions (“M&A”), Equity Capital Markets, Debt Capital Markets, Global Markets (FX and hedging), and/or general advisory.. Minimum 10+ years’ experience in Investment Banking and/or Capital Markets with a top ranked investment bank or commercial bank. Proven experience working with Debt and Equity Capital Markets, and leading M&A mandates
Interstate Waste Services is the most progressive and innovative provider of solid waste and recycling services in the country!. We primarily service Northern New Jersey, Southern New York State, New York City, and recently expanded our operations of transfer stations into Pennsylvania and Ohio, where we also own and operate a state-of-the-art rail-served landfill.. Our mission has always been to provide our customers with the highest quality waste, recycling and environmental services, while keeping focus on employee, customer and environmental safety.. The ideal candidate will have a strong background in finance, Waste Industry operations management, and analytical skills to drive operational excellence.. Bachelor's degree in Business Administration, Finance, Operations Management, or related field; CPA, MBA or relevant advanced degree preferred.
We are seeking a highly skilled Treasury Leader to drive our cash management strategy and improve treasury operations.. Develop best in class cash operations: evaluate new banking products and services, continue evolving global cash management strategy to align with company's strategic visions. Keep current on regulatory developments and requirements and lead adoption and compliance (ex: FBAR, FATCA, DF, etc).. CTP certification preferred.. With a strong insurtech focus, we embrace a broad and innovative approach to serving agents and clients alike.
Senior Audit Manager - Information Systems Audit. Audit #10015, Remote Within Trustmark's Geographic Footprint. The purpose of this job is to provide supervision and administration for the assigned audit function (i.e. Compliance, Corporate Governance, Information Technology, Financial and Wealth Management).. Eight (8) years of internal audit, accounting or banking experience. CIA, CISA or CPA required