Finance & Banking Jobs Hiring Now
Browse the latest Finance & Banking roles. Manage assets, analyze investments, and optimize financial strategies for top institutions.
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.
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.
We are seeking a Vice President to lead our Corporate Development group with a focus on high volume transaction execution.. The corporate development team is responsible for business development (proprietary deal origination) and transaction execution activities.. Coordinate with internal teams in diligence, finance, legal, and external advisors to shepherd potential transactions through acquisition.. Minimum of 12 years of experience in corporate development, investment banking, or private equity with a track record of deal origination and transaction execution.. Venture Capital and Private Equity Principals, Financial Services, and Manufacturing
2-4 years in investment banking, private equity, or other relevant experience. Macquarie Asset Management is a global asset manager that aims to deliver positive impact.. We provide access to specialist investment expertise across a range of capabilities including fixed income, equities, multi-asset solutions, private credit, infrastructure, green investments, natural assets, real estate, and asset finance.. Our commitment to diversity, equity and inclusion. We are committed to providing a working environment that embraces diversity, equity and inclusion.
We run VC Lab, the leading venture capital accelerator worldwide and operate the Decile Hub platform, reducing the barriers of entry for next generation investors to launch and grow meaningful early-stage investment firms.. You will be responsible for day-to-day operational finance, working collaboratively with venture capital fund accounting and finance, and laying the foundation for scaling the business.. The ideal candidate will have experience within a high growth fintech startup and interest or experience in the venture capital industry.. Oversee accounts payable, accounts receivable, collections, and payroll. Working schedule for adults: flexible times, remote work, unlimited PTO
Fitch Ratings' Funds & Asset Management group is currently seeking an Analyst, Senior Analyst or Associate Director based out of our New York office.. The group analyzes and publishes research on private equity fund finance and securitizations, leveraged closed end funds (CEFs), money market funds (MMFs), bonds funds, exchange traded funds (ETFs), local government investment pools (LGIPs), and asset managers.. 4-8 years of experience in finance, with exposure to funds or structured finance transactions a plus; the position level will be based on the candidate's experience. Sound academic track record to at least a bachelor's degree level, preferably in finance, economics, statistics, accounting, or computer science. Knowledge of SQL, VBA, and/or other programming languages
The treasurer plays a lead role in assisting the managed organizations during the budget and forecasting, financial planning and cash management while limiting risks to the organization.. The Treasurer will work closely with MO Finance management as well as the Boards of Directors and management of the managed organizations.. Advise CFO, SD of Finance and those charged with governance of the managed organizations as to loans, liquidity and investments. Professional certification in treasury management (e.g., CTP designation). Proficiency with accounting software (Microsoft Dynamics GP/SSRS/Management Reporter preferred) and Excel spreadsheets
GoFundMe is seeking a Treasury Manager to work with the Treasurer and oversee daily treasury operations.. Assist with day to day liquidity and cash management operations for the company, and its two partner non-profit organizations.. Experience in cash management strategies, financial instruments (i.e. money market, ETF, mutual funds and other financial instruments).. Experience in working in or partnering with non-profit organizations is a plus.. Hybrid workplace with fully remote flexibility for many roles.
We are an integrated care company with three lines of service 1) Senior Primary Care 2) PACE - The Program of All-Inclusive Services for the Elderly and 3) Care Management.. The Role Mission: The role mission of the Business Office Manager is to help grow the Senior Primary Care line of business.. Below are many of the key ROLE RESPONSIBILITIES: Practice Management Ensure members are scheduled, staff is scheduled, time sheets are managed, payroll is prepared, inventory is managed and other general practice management functions occur Be familiar with HIPAA and other regulatory requirements Business Office Operations: Oversee various practice operations, including Billing, Scheduling, Coding, Payroll Processing, Inventory Accounting, and Patient Billing.. Assist with regulatory reporting requirements (CMS, IRS, etc. CPA or CMA is a bonus Clinical Licensure AND business expertise is a bonus.
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.
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”)
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.
Lead general ledger, financial reporting, budgeting, and forecasting functions.. Assist with year-end audit requests from KPMG (Teamshares-level).. Oversee A/R, A/P, billing, inventory accounting, fixed assets, and revenue recognition.. Employee-ownership equity stake in Patina Stores. Join us at Patina Stores and be part of an employee-owned company where your expertise and leadership will directly contribute to our success!
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.
We are seeking a highly motivated and experienced Chief Financial Officer to join our dynamic and rapidly growing tech company.. As a key member of our executive team, the CFO will play a pivotal role in shaping our financial strategy, ensuring financial health, and driving sustainable growth.. Reporting to the CEO, the ideal CFO candidate will have a strong background in finance, particularly in early-stage tech companies, and a proven track record in managing public companies.. The optimum candidate for this role is passionate about the pro-life issue and is a true patriot with a love for our Constitution.. Capital Management: Manage the company's capital structure, including fundraising activities, debt management, treasury and investment strategy, and any M&A activity.
The Director of Finance is responsible for managing financial operations for the organization including overseeing the collection of data and information required to produce financial statements, supervising budget planning, coordinating internal and external audit processes and 990 prep, and making adjustments based on the audit results.. Overseeing proper accounting of $100M actively managed alternative investments. Experience coordinating audit activities, managing reporting, budget development and analysis, accounts payable and receivable, general ledger, and payroll. Experience in grants management as it relates to compliance and recognition and reporting of corporate, foundation grants, and planned giving is preferred. For roles in Burlingame, CA or New York City, the estimated base salary range is $175K- 200K per year.
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.
We are actively recruiting a Head of Private Equity Advisory to establish a new vertical spanning our Accounting Advisory and Internal Audit practices, bridging transaction-related support, financial reporting, controls, governance and compliance for PE clients, with extended services to portfolio companies.. Develop and execute a strategic business plan for the Private Equity Advisory practice group that aligns with the company's overall strategy and goals. Collaborate with other business group leaders, the CEO, President, COO, and other senior leaders to ensure alignment and support of the company's strategic initiatives. 15+ years of business services experience selling into the private equity space as a vendor, e.g. from expert networks, accounting advisory, legal, HR, insurance, etc.. Why DLA: Unlimited PTO and your Birthday is a holiday
We specialize in personal and commercial insurance lines, surety and bonding, employee benefits, financial and retirement services, and human capital management solutions.. The Sr. Manager of Corporate Finance will be an experienced professional with a deep understanding of insurance or insurance brokerage finance, is a strong financial storyteller, is highly analytical, can lead through influence, and can work in a fast-paced, Private Equity-backed environment.. Partner with CFO on all board meeting deliverables, which requires heavy PowerPoint work and financial storytelling. Maintain share price schedules on a quarterly basis, and assist CHRO in preparing financial results for executive bonus plan. Excellent financial storytelling skills, using PowerPoint, Power BI, and other analytical tools.
The supervisor manages the settlement & finance team in the organization, in order to ensure the entire operation of financial activities including billing/settlement of physical and financial trading activities, cash management, margin and collateral management by having close coordination with other members in the division and the company.. Supervise the energy commodity settlement team for Natural Gas, Power including ISO(ERCOT, PJM), Crude and RNG/Biofuel, prompting monthly settlement and related secondary expenses (transportation costs, brokerages, etc) timely and accurately.. Manage cash/stand-by LC collateral posting with exchanges/ISO such as ERCOT, NGX in a most cost effective way.. REQUIRED SKILLS & ABILITIES: Strong understanding of cash flow management, liquidity planning, and treasury operations, ensuring sufficient funds for settlement and financial obligations.. Proficiency in third-party software used by the company, such as Allegro, Oracle-NetSuite, and other applications necessary for settlement and finance operations, with appropriate training