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Reporting to the Director, Capital Markets, the Treasury Manager will drive strategic initiatives to manage foreign exchange and credit risks in addition to supporting analytics & forecasting activities for Palo Alto Networks Financial Services (PANFS).. Support enterprise foreign exchange and credit risk management by developing efficient processes to assess and manage exposures. Bachelor’s Degree with a concentration in Finance or Economics or equivalent military experience - MBA and/or CFA a plus. 6+ years’ experience in corporate finance, financial services, FP&A or Capital Markets/Treasury. Quantitative skill-set with experience modeling, reporting and visualization of large data sets (Advanced Excel skills, GCP, SQL, Tableau, etc)
We are seeking a dynamic Senior Accountant to join an innovative SaaS company near Atlanta, GA. This role offers a unique blend of remote work flexibility and on-site collaboration, providing an opportunity to shape financial processes in a high-growth environment.. Manage the day-to-day accounting functions, including accounts payable, accounts receivable, and general ledger reconciliation.. Graduate from Terry College of Business at UGA. Blue Signal is an award-winning, executive search firm specializing in finance & accounting recruiting.. We have a strong reputation for finding top talent in private equity, asset management, financial services, FinTech, and accounting leadership.
Sunrise Affordable Housing Group (“Sunrise”) is a real estate investment company specializing in acquiring and operating affordable-rate multifamily properties across the United States.. We target properties with LIHTC restrictions, Section 8 HAP contracts, and other affordability components.. Our current portfolio includes a mix of LIHTC and Section 8 properties, designated for both family and senior residents, with concentrations in the Southeast and West. Our leadership team has an extensive track record in affordable housing acquisition with leading developers before launching Sunrise.. Manage internal financial budgeting, forecasting and reporting for property operations and capital projects by implementing internal processes to track progress and identify potential issues. Past experience with LIHTC and Section 8 is required.
Built on a foundation of integrity and impactful partnerships, they provide critical financial support to SMBs, offering unique lending solutions that thrive in market turbulence.. As they continue to scale, they are seeking a Financial Operations Analyst to support underwriting, financial analysis, and process optimization in a high-growth environment.. Entrepreneurial Environment Join a fast-moving company that values innovation, efficiency, and results-driven solutions.. Assist in underwriting high-value small business transactions, including financial analysis, risk assessment, and merchant interviews.. Proficiency in Excel, financial modeling, and business intelligence tools.
With decades of experience, the organization is focused on delivering high-quality services while maintaining a commitment to sustainability and community impact.. This individual will oversee all financial functions, including planning, analysis, reporting, and compliance, while identifying opportunities for growth, efficiency, and operational excellence.. Planning & Analysis: Lead financial planning, budgeting, and forecasting processes to provide clear insights and recommendations.. Treasury & Capital Management: Oversee cash flow, investments, and capital allocation to support sustainable growth and maximize returns.. Expertise in financial management, including strategic planning, analysis, and compliance.
Reporting to the President, the Finance Manager will provide financial oversight, reporting, and analysis aimed at ensuring the organization’s fiscal health and sustainability.. As the manager for financial elements of the company, the Finance Manager will be a crucial partner to the President and leadership team, involved in strategic planning, evaluation, professional development initiatives, and planning for Bridges’ expansion throughout New Jersey.. The Finance Manager will have at least four years of professional experience, preferably managing the finance and bookkeeping of nonprofit corporations receiving significant public funds and funding from diverse sources.. ● Bachelor’s degree (MA/MBA preferred) in Accounting, Business, Management, or Finance (CPA a plus). ● Experience should include audit, compliance, budgeting, resource development, and forecasting - inclusive of government funding and Medicaid reimbursement
Strategic Support: Work closely with leadership teams to provide financial insights that drive strategic initiatives.. Process Improvement: Identify and implement opportunities for process automation and efficiency in financial reporting.. Education: Bachelor’s degree in Finance, Accounting, Economics, or a related field.. Technical Skills: Strong proficiency in Excel, financial modeling, and data visualization tools (e.g., Power BI, Tableau).. Professional certifications such as CFA, CPA, or CMA are beneficial but not required.
The VP, Internal Audit – Growth and Risk Management is responsible for leading a team of audit professionals as they perform audit continuous monitoring on two critical functions at Synchrony, our Growth organization and our Independent Risk Management organization.. At Synchrony, our way of working allows you to have the option to work from home, near one of our Hubs or come into one of our offices.. We celebrate the differences in all of us and believe that our individual, unique perspectives is what makes Synchrony truly a great place to work.. This starts when you choose to apply for a role at Synchrony.. Examples of reasonable accommodation include making a change to the application process or work procedures, providing documents in an alternate format, using a sign language interpreter, or using specialized equipment.
NETSCOUT Systems - Treasury Analyst - Westford, MA. The Treasury Analyst will join the finance team in Westford, MA reporting to the Sr. Manager, Treasury and will be responsible for supporting all aspects of the Company’s worldwide Treasury operations which include building, monitoring, and managing the efficient utilization of cash, bank accounts, and financial services for both domestic and international operations within the Company objectives.. The Treasury Analyst will work closely with internal parties such as business units, accounting (GL, AR, AP, Collections, etc.). Establishing and managing our hedging and swap activities, our investment portfolio through third party advisors and institutions, as well as supporting our senior debt facility activity and compliance.. General knowledge of GAAP and SEC reporting requirements related to treasury activities
Description We are seeking an experienced and highly motivated Financial Controller to join our team at Enpramex Company USA. This is a full-time on-site position located in Los Angeles, Beverly Hills.. The controller will be responsible for overseeing financial activities, preparing budgets, monitoring cash flow, financial reporting, and developing strategies to enhance financial performance.. Oversee and manage all finance and accounting operations including billing cost accounting and inventory accounting.. manage and mentor the accounting team to maintain high performance and accuracy in financial reporting.. ~ Bachelors or masters degrees in accounting, finance or related field.
The Senior Director of Treasury Services actively directs and assumes a leadership role over the University’s debt programs: both long-term and short-term, taxable and tax-exempt, as well as our capital planning, cash management, and liquidity efforts.. Supervise the Cash Management department including the Cash Manager and Cashier.. Work with the AVP for Treasury Services, Director of Integrated Planning, and Vice President for Finance and Treasurer to regularly format, design, and prepare Trustee materials for the Committee on Finance.. 10+ years of related experience in financial planning, treasury operations, debt management, capital budgeting, and cash management.. Advanced to expert knowledge of Oracle EPM or similar FP&A planning and forecasting systems (Axiom, Anaplan, Workday Adaptive Planning, etc
CA’s goal is to help endowments & foundations, pension plans, and ultra-high net worth private clients implement and manage custom investment portfolios that generate outperformance so that they can maximize their impact on the world.. Cambridge Associates delivers a range of services, including outsourced CIO, non-discretionary portfolio management, and investment consulting.. Leverage technology and automation to streamline data operations.. Monitor industry trends and best practices to inform strategy and operations.. Extensive experience in regulatory reporting operations, compliance, or a related field.
Commercial Lending Underwriting Manager – To $175K – Dallas, TX – Job # 3358 Who We Are The Symicor Group is a boutique talent acquisition firm based in Lincolnshire, IL & Rockport, TX. Our nationally unique value proposition centers around providing the very best available banking and accounting talent.. The Position Our bank client is seeking to fill a Commercial Lending Underwriting Manager role in the Dallas, TX market.. Commercial Lending Underwriting Manager responsibilities include: Provides people management leadership by hiring the best talent, setting goals, developing staff, managing employee performance and compensation decisions, promoting teamwork and handling any/all disciplinary actions, as required Manages a commercial underwriting team that adjudicates credits with a variety of complexities.. Ensures adherence to Risk Policies, implements operational risk processes, policies, and practices and drives satisfactory regulatory audits, loan review, internal audits, and compliance audits.. Contribute to organizational strategic initiatives such as process improvement, system enhancements, process workflow Builds and maintains productive relationships with all business partners within the Commercial Bank and encourages team to do the same Coaches the Credit Managers and Underwriters in developing value-added credit solutions for our customers that are consistent with the Bank’s Risk Appetite Principles Drive employee satisfaction and morale Who Are You?
Global Financial Crimes is comprised of the Anti-Money Laundering (AML), Sanctions, Anti-boycott, Anti-Corruption (ACG), Government, and Political Activities Compliance (GPAC) programs.. GRRG serves as the central point of contact for the regulatory staff responsible for supervisory activities at Morgan Stanley entities and for timely reporting to Firm management and other governance or management bodies, as appropriate, on those relationships and supervisory processes, including areas of significant regulatory focus or concern.. - LCD Center of Excellence - Mumbai (LCD CoE) is a part of Morgan Stanley's Global In-house Center, which provides global support to LCD and is an integral part of Firm and LCD strategy.. - Knowledge of the Operational Risk and Non-Financial Risk. - Knowledge of Information Security and Fraud Risk assessment and prevention and detection controls.. However, base pay if hired will be determined on an individualized basis and is only part of the total compensation package, which, depending on the position, may also include commission earnings, incentive compensation, discretionary bonuses, other short and long-term incentive packages, and other Morgan Stanley sponsored benefit programs.
The candidate will establish a partnership with the key business stakeholders to outline priorities and maintain ongoing communication with Corporate Audit and IT Compliance to ensure all SOX controls effectively enacted.. Work with Corporate Audit and IT Compliance to define and maintain an effective suite of SOX/ITGC controls adapting to changes in finance solutions for proactive management and automated testing. Align with Enterprise Architect and Data Warehouse efforts to ensure finance data and needs are addressed appropriately.. Nice to have: experience with an expense management application like SAP Concur. Nice to have: experience with commission management application like Xactly
Recruit, retain, and develop direct reports; train and mentor audit staff that are not in a direct reporting line; supervise external consultants; model excellence, teamwork, and collaboration with direct reports and the audit team.. Deliver continuous monitoring over financial, operational, and Second Line of Defense related risk areas to the CAE and business lines, resulting in trust and creditability of the audit function.. Manage financial, operational, and Second Line of Defense audit engagements to the required audit methodology including development of the audit scope, risk assessment, and audit procedures; approval of the audit results and workpapers; communication of results to the CAE and clients; and delivery of audit reports that are clear, concise, and constructive.. Experience - Strong proficiency in technology infrastructure and cybersecurity including threat and vulnerability management, security monitoring, Cloud, networks and databases; related business areas such as those over payment systems.. We still believe in the vision of the helpful and caring community banker.
Additional duties will include chairing the Executive Loan Committee, ensuring that the Bank maintains compliance with all banking regulations and reporting to the Board Enterprise Risk Management and ERM all asset quality performance, loan documentation and regulatory compliance results.. Oversee all aspects of Credit Administration including: credit policy, appraisal services, collections, and special assets. Complete all mandatory and elective training, including BSA (Bank Secrecy Act) and Anti-Money Laundering procedures.. Oversees and supervises all credit administration, special assets, collections and credit analysis personnel.. Minimum ten (10) years commercial banking, commercial real estate and/or commercial lending experience, as well as credit administration experience
Reporting to the Director of Finance, the Finance Manager will handle high-level accounting transactions and oversee the financial activities of the company.. The Finance Manager will manage and supervise all aspects of accounting.. Prepare monthly and quarterly consolidated financial reporting packages to ensure compliance with internal and external reporting requirements following IFRS while adhering to tight timelines. Assist Director of Finance with quarterly forecasting process, including collaborating with various stakeholders on inputs such as sales pipeline, staffing costs, capital expenditures, etc., to prepare a robust forecast. Required Skills/Abilities: Financial expertise: a deep understanding of financial analysis, accounting principles, financial reporting, and budgeting
The Treasury Management BDO will have direct support of SVP of Treasury Management and will work closely with the Treasury Services Department to ensure a seamless onboarding experience.. The Treasury Management team delivers extensive industry knowledge, local expertise and competitive capabilities to clients.. Assist with the relationship analysis, and construction of presentation material for client proposals, collaborate with Treasury Management to streamline the onboarding process.. Engage in relationship reviews to identify opportunities, effectively assess TM product and service, and stay up to date on current and emerging commercial banking and treasury management strengths.. Regularly update Retail Banking Employees and Commercial Lending Officers on critical developments impacting Commercial Deposit Growth through monthly team meetings, and e-mails.
The Commercial and Industrial (C&I) Portfolio Manager assists the relationship managers with the underwriting of credit and the ongoing administration of loan portfolios to ensure that the Bank maintains high credit quality and to provide more time for the relationship managers to generate new business opportunities.. Accompanies the relationship manager on prospect / client calls when appropriate. Bachelor’s Degree in Accounting, Finance, or related field; MBA preferred. Knowledge of underwriting treasury management products preferred. Proficient in various spreadsheet applications, including the use of graphs, charts and Moody’s financial analysis software