The Strategic Finance team is focused on solving some of Figma’s most pressing business issues.. We are currently hiring for a few roles across our Strategic Finance team.. Go-To-Market: This role will focus on our International Sales business.. Prepare and deliver presentations for the Executive Team, including the CFO, CRO, and CMO. 3+ years of relevant experience in investment banking, private equity, Strategic Finance, Business Operations, or related fields
Valued at US$6.2 billion and backed by world-leading investors including Visa, Airtree, Blackbird, Sequoia, DST Global, Greenoaks, Salesforce Ventures, Lone Pine, and Square Peg, Airwallex is leading the charge in building the global payments and financial platform of the future.. The Corporate Development and Investor Relations team at Airwallex is the company’s strategic brain trust, driving financial strategy, growth, and high-impact decision-making.. We work at the intersection of strategy, finance, and execution, partnering cross-functionally to unlock new opportunities, and execute complex transactions.. From fundraising and M&A to strategic finance initiatives, we play a critical role in shaping Airwallex’s future.. 10 years of experience, preferably in top-tier investment banking, private equity or venture capital, management consulting, corporate development or equivalent
Wells Fargo is seeking a Investment Banking Client Strategy Consultant, Senior Assistant Vice President (Senior Business Execution Consultant) in Corporate & Investment Banking as part of the Chief Operations Office (COO), specifically aligned with investment banking coverage business management & strategy execution.. A trusted partner to our clients, we provide corporate and transactional banking; commercial real estate lending and servicing; investment banking; equity; and fixed income solutions including sales, trading, and research capabilities to corporate, commercial real estate, government, and institutional clients across the globe.. Collaborate to craft clear and compelling narratives by leveraging creative data visualization and story-telling to support executive strategic presentations. Thought leader in topics that improve the overall franchise, including strategies to drive client engagement, improve efficiency, create leverage and scale, and increase process and metrics that drive behavioral change. They are accountable for execution of all applicable risk programs (Credit, Market, Financial Crimes, Operational, Regulatory Compliance), which includes effectively following and adhering to applicable Wells Fargo policies and procedures, appropriately fulfilling risk and compliance obligations, timely and effective escalation and remediation of issues, and making sound risk decisions.
POSITION Manager, Finance - Cell Therapy Operations. SUPERVISOR Director, Finance - Cell Therapy Operations. This role supports Cell Therapy Financial Planning & Analysis function.. Support in the standard cost setting process for externally manufactured cell therapy products including updating system with new standards.. Specific pharmaceutical manufacturing/costing experience is a plus.
Our team is responsible for developing and managing Stripe’s equity capital markets activities.. Provide expertise and support to cross-functional projects across the company, including capital allocation, financial planning, debt issuance, and corporate development. Manage the creation and distribution of routine and ad-hoc investor reporting materials. Monitor and report on industry trends related to financial performance and equity capital markets. 6-8 years of relevant experience in equity research, investment banking, corporate development, or corporate finance
Overview Vice President - Project Finance Portfolio Management. MUFG is seeking a project finance professional with portfolio management experience to conduct credit analysis of project finance transactions.. MUFG's project finance practice covers multiple verticals including power / renewable energy, oil and gas, infrastructure and Latin America.. Credit experience in aviation finance or other structured finance (securitization, leasing) is a plus. Sound knowledge of finance, accounting, loan documentation and credit / structural risks in various project finance sectors
Bachelor’s degree in Finance, Business, Economics, or a related field (MBA, CFA, or CPA preferred). 8+ years of experience in investor relations, investment banking, equity research, or corporate finance, with at least 3 years in a senior IR or leadership role. Experience in publicly traded companies, ideally in the TMT sector. Experience with IR platforms (e.g., Q4, Nasdaq IR Insight) and financial data tools (e.g., Bloomberg, FactSet, Capital IQ). We offer family building and caregiving support and generous Family Care and Parental leave, when you need it.
Reporting directly to the President & CEO, the Vice President, Finance & Administration leads all financial functions, including strategic planning, financial reporting, budgeting, compliance, investments, and risk management.. The Vice President, Finance & Administration works collaboratively across the organization to ensure sound fiscal stewardship and alignment with the museum’s mission and strategic goals.. The Vice President, Finance & Administration also provides strategic leadership for the Finance, Sales, People & Culture, and Retail Departments.. Oversee audits, tax filings, grant compliance, and other regulatory reporting.. Familiarity with financial and accounting reporting systems and tools; experience with MIP/Abila, and Paylocity preferred.
As a core member of the leadership team, you will lead all aspects of financial planning, analysis, and operations, ensuring alignment between financial goals and business objectives.. Financial Planning & Analysis (FP&A) – Lead the design of scalable FP&A processes, building models and dashboards that provide actionable insights and support business decisions.. Operational Finance – Oversee core finance operations including accounting, treasury, payroll, and compliance, ensuring accuracy, efficiency, and control.. 6+ years of experience in corporate finance, investment banking, or in a senior finance role at a high-growth startup or tech company. Top-Tier Compensation - Competitive salary + equity in a high-growth startup.
The Vice President, Finance & Administration is a key member of the executive leadership team, responsible for overseeing the museum’s financial strategy, operations, and long-term fiscal sustainability.. Reporting directly to the President & CEO, the Vice President, Finance & Administration leads all financial functions, including strategic planning, financial reporting, budgeting, compliance, investments, and risk management.. The Vice President, Finance & Administration works collaboratively across the organization to ensure sound fiscal stewardship and alignment with the museum’s mission and strategic goals.. The Vice President, Finance & Administration also provides strategic leadership for the Finance, Sales, People & Culture, and Retail Departments.. Familiarity with financial and accounting reporting systems and tools; experience with MIP/Abila, and Paylocity preferred.
You will be an important member of the team responsible for global Treasury operations at this highly regarded Fortune 500 company.. At Williams-Sonoma, the Treasury team manages, protects, and optimizes the company's cash.. The Senior Treasury Analyst's role will support daily treasury operations, including cash management, liquidity forecasting, and bank account administration.. Williams-Sonoma, Inc. is an Equal Opportunity Employer.. Williams-Sonoma, Inc. will consider for employment qualified applicants with criminal histories in a manner consistent with the requirements of the San Francisco Fair Chance Ordinance, or other applicable state or local laws and ordinances.
This role oversees daily finance operations, including revenue cycle management, accounts payable/receivable, payroll, general ledger, cash management, and audit preparation.. The VP of Finance ensures strong internal controls and efficient processes that support organizational stability and growth, while partnering with the CFO on financial analysis, forecasting, and strategic initiatives.. Actively manage cash flow, liquidity forecasting, and maintenance of adequate reserves to ensure operational stability.. Supervise Director of Revenue Cycle Management and Accounting Manager to assure accounts payable, billing/accounts receivable, payroll, and general ledger functions are accurate and met regulatory requirements.. Partner with the CFO and leadership team on strategic initiatives, financial modeling, and process improvements.
Hedgeye Risk Management is a leading provider of independent investment research and a premier online financial media company.. Contribute to Hedgeye's digital media platforms, including web, mobile, video, and audio, by providing expert content that resonates with our audience. Minimum 3 years of equity research experience (4–5 years preferred) at a sell-side or buy-side investment research firm. About Hedgeye: We are a leading provider of actionable independent investment research and a premier online financial media company.. Sign in to set job alerts for “Equity Research Specialist” roles.
Join to apply for the Risk Management Analyst role at Geode Capital Management. Geode Capital Management, LLC is seeking a Risk Management Analyst.. The Risk Management Analyst will report to the Director of Technology Risk and support implementation of risk management policies and procedures to protect the organization and support Geode’s business objectives, strategy, and overall success.. Risk or audit related certifications preferred (e.g., CRCCP, COSO ERM, CISA, CRISC, PMI-RMP, etc.). Investment Strategy Analyst, Solutions Group Privates Allocator Clinical Risk Manager, Clinical Operations Waltham, MA $124,000.00-$170,000.00 2 weeks ago
A Vice President, Commercial Banker is responsible for business development and portfolio management of commercial banking relationships.. Collaborates with credit and operations colleagues to underwrite, originate, service, monitor, and collect commercial purpose loans and grow depository, Treasury Management, and Wealth Management relationships.. generation of loans fees and other non-interest income including Treasury Management and Wealth Management services. Partner effectively and constructively with Credit Administration in underwriting and reviewing Borrower relationships to produce a consistent, timely, and accurate understanding of risk profile.. Experience with negotiating complex credit arrangements in the commercial lending arena.
Public Company - VP of Finance - Path to CFO GJL Partners has been retained on a fantastic VP of Finance search with a publicly traded company.. Accounting & Finance : Oversee all financial activities including accounting, budgeting, forecasting, financial reporting, and analysis.. Mergers & Acquisitions : Provide financial insight and leadership in potential M&A opportunities, due diligence, and integration.. Experience in one or more of the following industries: SaaS, manufacturing, or private equity.. This position offers a clear and defined path to the Chief Financial Officer (CFO) role, with opportunities for growth and development within the company.
Corpay is currently seeking a Vice President of Treasury Accounting & Analytics, reporting to the SVP Global Finance Transformation, based in Brentwood, TN. This position will be responsible for compliance with bank account reconciliations, reporting, Money Transmitter Licensing (MTL), particularly focusing on FBO and settlement accounts.. Effective daily reconciliation of FBO, operating bank accounts and settlements and associated accounting entries. Manage the securitization reporting as per the reporting requirements. Manage reporting requirements related to FBO/MTL compliance. Microsoft certifications (e.g., Azure Solutions Architect, Microsoft Certified: Dynamics 365) are highly desirable
Experience in equity research, investment banking, public accounting, consulting, or industry is preferred, with a strong preference for Autos sector experience.. Generating ideas: Effectively communicate in a time-sensitive environment, manage multiple priorities, meet deadlines, and draft reports on investment themes, events, and news.. Technical skills: Bloomberg and/or FactSet, advanced Excel (macros, pivot tables), statistics (regression, variance, covariance, correlations), and financial modeling.. Bachelor’s Degree or higher in Finance, Accounting, Math, or Statistics; MBA, CPA, or CFA is a plus.. Fully licensed with Series 7, 63, 86 & 87 preferred or expected within 6 months.
This role leads debt capital markets activities, including compliance with credit agreements, strategy and execution for debt maturities, financing acquisitions, and managing the company's capital structure.. Identify, assess, and manage financial risks related to debt, capital markets, and foreign exchange activities.. Manage a team consisting of a Treasury Manager and a Senior Treasury Analyst.. Bachelor's degree in Finance, Economics, or a related field; Master’s degree or CFA/CTP preferred.. Minimum 12 years of treasury management experience, focusing on debt, capital markets, and FX management.