Associate, Trading with Goldman Sachs & Co. LLC in New York, New York. Work with other Trading desks and Sales / Investment Banking coverage to identify potential transactions and clients across all commodity industries and products.. Requires: Bachelor’s degree (U.S. or foreign equivalent) in Economics, Finance, Accounting, or a related field and three (3) years of experience in the job offered or in a related role.. Prior experience must include three (3) years of experience with: utilizing corporate finance knowledge to determine valuation of prospective borrower; utilizing corporate finance knowledge to quantity cash flow analysis to assess credit health of prospective borrower; interpreting and analyzing financial statements, investor presentations, and earnings calls; and quantifying and calculating derivative payoffs and credit exposure.. Prior experience must include two (2) years of experience with: developing marketing and pitch materials in preparation for client meetings.. QUALIFIED APPLICANTS: Apply at gs.com and click on "Careers."
In key sectors such as clean energy, advanced electronics, high-performance computing and AI, climate friendly cooling, and high-quality paints and coatings for homes and industrial infrastructure.. The Senior Director of Corporate Development is a strategic leader responsible for driving Chemours' growth initiatives, including mergers and acquisitions (M&A), joint ventures, strategic partnerships, and other corporate transactions. Mentor and develop junior team members within the Corporate Development function. 10+ years' progressive experience in corporate development, investment banking, strategy consulting, or related fields within the chemical or manufacturing industry. Immigration sponsorship (i.e., H1-B visa, F-1 visa (OPT), TN visa or any other non-immigrant status) is not currently available for this position
The Equity Research Summer Intern position is a great opportunity to experience the investment management business at a leading asset management firm.. The Summer Interns will work closely with Equity Research Associates and Analysts on a specific sector team (e.g., technology, financials, etc.). MFS will be looking to hire full time Equity Research Associates from the Summer Internship program to start in mid 2026 following their graduation from college.. Under the direction of an Analyst and Equity Research Associate, perform fundamental research on industries, markets, companies, products and/or services.. This will involve using resources such as Bloomberg, CapitalIQ and/or Factset to gather financial data to be analyzed.
Build the Future with Us - EquipmentShare is Hiring a Treasury Operations Specialist. We're hiring a Treasury Operations Specialist for our Corporate HQ in Columbia, MO and we're looking for someone who's ready to grow with us, bring energy and drive to their work, and help us build the future of construction.. The Treasury Operations Specialist will support the Treasury team by managing key operational activities to ensure efficiency, compliance, and accuracy in cash management and payment processes.. This role will focus on bank relationships, payment method optimization, unclaimed property maintenance, and M&A Support.. At least 2+ years of experience in treasury operations, cash management, or a related role.
We are currently seeking a highly experienced and results-driven outward-focused Chief Financial Officer (CFO) with a deep understanding of capital markets and private equity real estate.. Institutional LP Investors: Pension funds, insurance companies, endowments/foundations, commercial banks, sovereign funds, private equity funds, hedge funds, and mutual funds.. Retail Investors: Registered Investment Advisors (RIA), Broker-Dealers (BD), and High-Net-Worth (HNW) individuals.. Minimum of 7 years of experience in real estate investment, banking, private equity or capital markets, with a proven track record in building out growth as opposed to joining established infrastructure.. Strong understanding of equity capital markets, commercial real estate, private equity, fund formation, institutional investors, banking, financial modeling, and investment strategies.
New up and coming life science/biotech client is eager to hire VP, Finance (Controller) to join their team!. Supervise AR, AP, payroll, technical accounting, fixed assets, treasury, and equity awards.. Bachelors' degree in Accounting with current CPA accreditation required; Masters' degree or MBA is preferred. Proficiency with Oracle Fusion, NetSuite, Carta, Prendio, and Bill is beneficial. Experience with the implementation of an ERP system such as NetSuite or Oracle
This role oversees all day-to-day accounting operations including cash management, payroll, accounts payable, financial audits, and reporting.. Perform regular payroll and benefits reconciliations to identify and resolve discrepancies.. Oversee AP team to ensure timely and accurate invoice processing and vendor payments. Experience with payroll systems and financial software (e.g., Sage Intacct, QuickBooks, ADP). Employee Assistance Program (EAP) for mental health and wellness support
At Parker Aerospace, we develop technologies and innovative solutions that enable reliable, efficient and increasingly sustainable flight for the lifecycle of the aircraft, including aftermarket support.. Finance: General and specialized accounting (e.g., cost or tax accounting); audit; financial analysis and budgeting; payroll and related areas.. Develops new approaches to resolve finance systems problems by implementing new processes and/or efficiency improvements.. This position is subject to meeting U.S. export compliance and/or U.S Government contracting citizenship eligibility requirements.. However, U.S. Citizenship, Permanent Residency or other appropriate status is required for certain positions, in accord with U.S. import & export regulations.
We are seeking a highly skilled and experienced Senior Accountant to join our accounting team.. As a Senior Accountant, you will play a critical role in overseeing and managing various financial functions, ensuring accuracy, compliance, and efficiency in all accounting processes.. General Ledger Management: Help maintain the general ledger system, ensuring accurate recording of financial transactions, proper account coding, and adherence to internal controls.. Internal Controls: Help maintain effective internal controls to safeguard company assets, ensure compliance with regulatory requirements, and mitigate financial risks.. Advanced proficiency in financial software and ERP systems (e.g., Sage, Yardi, Quickbooks, TAM).
They provide credit and sales support to Commercial Lending, analyze complex financial statements, and prepare credit analysis packages.. The Portfolio Manager plays a crucial role in maintaining operational excellence and supporting the overall growth of the portfolio.. Provide credit and sales support to Commercial Lending.. Proficient knowledge of credit policy, banking regulations, and loan documentation.. Proficiency with in-house financial reporting applications, including Navigator.
This would include commercial and consumer banking, investor reporting, data analytics, and various support areas within the bank.. Spend time interacting with other FNB business partners which may include: Retail, Commercial, Private Banking, Treasury Management, Wealth/Brokerage, Mortgage and Insurance. Participate and attend FNB related events/trainings that are scheduled for all Summer Interns. It is the policy of F.N.B. Corporation (FNB) and its affiliates not to discriminate against any employee or applicant for employment because of age, race, color, religion, sex, national origin, disability, veteran status or any other category protected by law.. FNB provides all applicants and employees a discrimination and harassment free workplace.
Location: Green Bay or La Crosse, WI. Position is not fully remote and will need to reside in close proximity to Green Bay or La Crosse for frequent on site needs.. We are seeking a Director of Enterprise Risk Management to lead and evolve our organization's risk management function.. The Director will oversee internal audit, corporate insurance programs, and enterprise risk frameworks, ensuring organizational resilience and informed decision-making.. Oversee corporate insurance strategy, including management of a wholly owned Captive Insurance Company.. Preferred: Master's Degree in Risk Management, Healthcare/Hospital Administration, Business (MBA), or related field.
Over the years we have become a full-service acquisition, renovation, and property management company growing throughout the South and Midwest.. Maintain and build various in-house real estate cashflow models to evaluate and forecast investment performance at fund and/or market level for single-family rental and build-for-rent assets. Maintain and build in-house valuation models for recurring investor reporting and Board of Directors presentations. Monitor key sector and industry indicators, supply and demand, macroeconomic metrics at national and MSlevel. Prior coursework or professional experience in financial planning and analysis, portfolio management, investment banking, consulting, valuation, private equity, or related roles.
Timely response to open exception report, loan review audits and support internal and external audits.. Assists Commercial Lending Team with potential new business.. Assist with Commercial Lending team as needed to acquire working knowledge of Credit Analysis. Providing loan document information as required which includes secondary market and NLP portfolios.. Understanding of financial information and loan documentation.
Reporting to the Chief Financial Officer, the Senior Director, Treasury will be responsible for providing treasury operational leadership by delivering essential corporate services, including treasury activities related to cash flow, borrowings, debt, oversight of U.S. cash management, and oversight of processes to improve the accuracy of the U.S. cash flow forecasting.. They will also manage relationships with financial institutions while building partnerships and alignment with key functions within Olam. This position will lead and direct the work of a Treasury team based in Chicago and offshore, as well as other cross-functional teams.. Lead and oversee the treasury team and ensure successful outcomes of essential corporate treasury services including wires, account funding, cash concentration, and cash flow forecasting.. Ensure adherence to Treasury's key compliance, documentation, and regulatory reporting requirements through the design of policies, authorizations, procedures, and strong internal controls.. Lead negotiation with banks and financial institutions on financing structures e.g., SIP products, account receivable factoring, securitization, leases, notes, etc.
At Parallel Web Systems, we are bringing a new web to life: it’s built with, by, and for AIs. Our work spans innovations across crawling, indexing, ranking, retrieval, and reasoning systems.. Our first product is a set of APIs for AIs to do more with web data.. We are a fully in-person team based in Palo Alto, CA. Our organization is flat; our team is small and talent dense.. Accelerate change - Ship fast, adapt faster, and move frontier ideas into production.. While finance is your "major" and you may have previously held roles in Investment Banking, Private Equity, VC, or Hedge Funds, you are drawn to solving complex business problems and building new markets.
Responsibilities Manage transactions: Process and reconcile accounts payable, accounts receivable, and general ledger entries.. Financial reporting: Prepare accurate and timely financial statements, including balance sheets, income statements, and cash flow statements, for senior management.. Budgeting and forecasting: Collaborate with the finance team to prepare annual budgets and financial forecasts.. Fixed assets: Maintain and reconcile the company's fixed assets and tooling.. Systems and processes: Utilize and maintain accounting software (e.g., ERP) and identify opportunities for process automation and efficiency.
While we welcome applicants from all areas of finance, we prefer candidates with expertise in banking, applications of artificial intelligence in finance, wealth management, or real estate. With centers such as the Center for Banking and Financial Services, Center for Family Business, Center for Innovation and Entrepreneurship, and the Center for Professional Sales, McCoy College offers fertile ground for research, teaching, and community impact. The department offers Bachelors degrees in Finance and Economics and a STEM-designated Masters degree in Quantitative Finance and Economics, which equips students with advanced skills in econometrics, data analytics, and financial modeling. Demonstrated expertise in one or more of the following areas: banking, artificial intelligence applications in finance, wealth management, or real estate. Relevant professional certifications (e.g., CFA, FRM, CAIA) or significant industry experience that enhances teaching and research.
Responsibilities Manage transactions: Process and reconcile accounts payable, accounts receivable, and general ledger entries.. Financial reporting: Prepare accurate and timely financial statements, including balance sheets, income statements, and cash flow statements, for senior management.. Budgeting and forecasting: Collaborate with the finance team to prepare annual budgets and financial forecasts.. Fixed assets: Maintain and reconcile the company's fixed assets and tooling.. Systems and processes: Utilize and maintain accounting software (e.g., ERP) and identify opportunities for process automation and efficiency.
Extensive knowledge of commercial lending and deposit products, transaction banking, treasury management, and ancillary services.. Strong understanding of commercial underwriting, credit risk analysis, and portfolio management.. When extending an offer of employment, USC Credit Union considers factors such as the scope and responsibilities of the position, the candidate's work experience, education/training, key skills, internal peer equity, federal, state, and local laws, contractual stipulations, grant funding, as well as external market and organizational considerations.. Minimum Experience: 7 years in commercial banking or commercial lending, and 5 years in a managerial or leadership capacity.. Minimum Skills: Extensive knowledge of commercial lending and deposit products, transaction banking, treasury management, and ancillary services.