Finance & Banking Jobs Hiring Now
Browse the latest Finance & Banking roles. Manage assets, analyze investments, and optimize financial strategies for top institutions.
Position Overview: Oversees non-profit Certified Development Company operations and staff.. Ensure company is compliant with all organizational and SBA policies as well and state and federal requirements.. Minimum 5 years’ experience in commercial lending, business banking, commercial real estate, or related field. Business development and organizational leadership and staff development skills. SBA lending experience preferred.
The Finance Director is CSCOE's Chief Financial Officer, serving as the primary financial advisor to the President and Board of Directors, maintaining financial records and ensuring that proper internal controls are in place and operating efficiently.. The Finance Director also serves as an advisor to the schools we support.. Review bank balances on a regular basis to ensure proper liquidity.. Work with schools and other interested parties to develop a financial model that promotes financial health and viability within the schools.. Assist schools, as requested, in the budgeting process and in reviewing the financial results of school operations.
In the U.S., CIBC Bank USA provides commercial banking, private and personal banking and small business banking solutions and CIBC Private Wealth Management offers investment management, wealth strategies and legacy planning.. Manage RAI compliance to satisfy Internal Audit, Model Risk Management, external audit and regulatory requirements. Bachelor / master degree with a major in economics, statistics, finance, accounting, business administration or related are area is preferred. Risk data and/or modeling, model risk management, IT experience is a plus.. Familiar with bank risk management and reporting rules, regulations and guidance such as Basel II/III, FRB SR11-7, CCAR, CECL, FR Y-9C, Y-14, Reg YY, Reg W, OSFI E-23, MST, etc.
Software Guidance & Assistance, Inc., (SGA), is searching for a Senior Treasury Manager for a direct placement assignment with one of our premier Utility clients in San Jose, CA.Onsite position via hybrid schedule - must be local and willing to work in office - days per week.. The Treasury Manager is responsible for managing the financial and monetary aspects of the company, including cash flow, liquidity, funding, and building and maintaining relationships with financial institutions.. Assist the CFO and SVP of Finance with various projects as needed Required Skills: Bachelor's degree in Business Administration, Finance, Mathematics, Accounting or similar.. Knowledge and experience of treasury management including managing debt portfolios, liquidity and cash flow forecasting, and techniques for analysis of funding and hedging.. Experience with process improvements and controls implemented to enhance treasury operations.
This is a unique opportunity to work directly with the founders, contributing to high-impact initiatives across business development, fundraising, and market expansion.. We’re seeking a highly adaptable, proactive individual with a strong background in venture capital, strategic finance, or startup operations.. 2-5 years of experience in venture capital, private equity, strategic finance, or startup operations.. Qualifications:Bachelor’s or Master’s degree in Finance, Business Administration, Healthcare Management, Biomedical Engineering, or a related field.. 3-5 years of experience in venture capital, private equity, strategic finance, or startup operations.
The Senior Accountant will collaborate closely with colleagues and the Global Business Services (GBS) team to ensure offshore activities align with company policies.. Collaborate with the Global Business Services (GBS) team to monitor and enhance the accuracy and timeliness of offshore accounting activities.. Proficiency with advanced accounting software, including SAP S4 Hana, Blackline, and Hyperion, is a strong plus.. Working Relationships • Will work with cross-functional team members in Operations, Supply Chain, Finance, IT, Commercial, Tax, Treasury, and Internal Audit.. Work with internal external Audit and members of our 3rd party outsource team.
Developing and implement control frameworks to enhance operational risk management.. Providing insights and recommendations to improve risk management practices, particularly in areas such as operational risk, resiliency risk, IT risk, data privacy risk, and cybersecurity risk.. Strong understanding of risk management practices in financial services, with a focus on operational risk, resiliency risk, IT risk, data privacy risk, or cybersecurity risk.. Professional certifications such as CIA, CISA, CRISC, or similar.. Family building benefits like adoption assistance, surrogacy, and cryopreservation
Working as a collaborative leader, the CAO is responsible for managing and reporting on all fiscal and fiduciary affairs of the organization, including reporting to the Board and company ownership among others; cash and investment management; budgeting and forecasting; and oversight of all aspects of the accounting department.. Together with the President/CEO and executive leadership team, develops the strategy to ensure that the organization has the financial resources needed to achieve its current and future goals, while mitigating financial and operational risk.. Supervises the accounting staff on day-to-day operations that includes, but is not limited to, month/year end close, accounts receivable & payable, financial reporting, invoicing, cash receipts and disbursements.. Responsible for evaluation of internal controls with President/CEO.. Assists President/CEO and executive leadership with corporate financial statements and any other tasks, projects, and responsibilities as requested/assigned.
Provides support to Corporate Bankers in regards to portfolio and risk management of complex corporate loans to ensure proper reserve requirements are applied.. Bachelor's: Accounting, Bachelor's: Business Administration, Bachelor's: Economics, Bachelor's: Finance. At Raymond James our associates use five guiding behaviors (Develop, Collaborate, Decide, Deliver, Improve) to deliver on the firm's core values of client-first, integrity, independence and a conservative, long-term view.. At Raymond James - as part of our people-first culture, we honor, value, and respect the uniqueness, experiences, and backgrounds of all of our Associates.. EOE/AA: Female/Minorities/Disabled/Protected Veterans/LGBT
The Vice President & Chief Financial Officer (CFO) will lead our finance department and drive financial strategy and operations.. Financial Planning & Analysis: Lead the financial planning and analysis function, including budgeting, forecasting, and variance analysis.. Treasury Management: Manage cash flow, liquidity, and investment activities to optimize returns while minimizing risk.. Pierce Mortuary Colleges (PMC) is committed to fostering diversity and inclusivity, adhering to Equal Opportunity Employment principles and prohibiting all forms of discrimination and harassment.. Emphasizing merit, competence, and performance, PMC ensures fair employment practices at all levels, without regard to race, color, religion, sex, sexual orientation, gender identity or expression, familial status, age, national origin, disability status, genetic information, protected veteran status, or any other characteristic protected by law.
Apollo is a high-growth, global alternative asset manager.. In our asset management business, we seek to provide our clients excess return at every point along the risk-reward spectrum from investment grade to private equity with a focus on three investing strategies: yield, hybrid, and equity.. We are seeking an experienced and highly skilled Chief Accounting Officer (CAO) to join our leadership team of our flagship Non-Traded BDC, Apollo Debt Solutions, within our Credit business.. Valuation of Assets and Liabilities: Ensure accurate valuation of the fund's portfolio, including investments, debt and derivatives, as well as compliance with applicable pricing and valuation policies.. Investor Reporting: Collaborate with internal sales, marketing and product support teams to ensure integrity of data and reporting, including performance metrics and other relevant financial disclosures.
The Senior Business Banking Relationship Manager plays a pivotal role in sourcing and developing new business while managing and growing a portfolio of commercial banking clients.. Responsibilities also include working with businesses generating $500K - $30M in revenue across different sectors such as C&I, CRE, and SBA. Expect to engage in new business development through strategic referrals and proactive outreach.. Proactively manage credit sheet quality by collaborating closely with credit analysts for timely completions.. Understand the implications of lending on the bank's Community Reinvestment Act (CRA) goals.. Formal bank credit training is highly preferred.
Join the California Dairies, Inc. (CDI) team, a farmer-owned cooperative dedicated to sustainably producing the highest quality dairy products while fostering a culture of innovation and collaboration.. Our Visalia corporate office serves as the central hub for the CDI enterprise, driving strategic decision-making, innovation, overall business support, and growth across our diverse portfolio of dairy products and brands.. The Treasury Manager oversees receivable, cash, cash flow, other working capital assets, investment, debt, risk management, and related financial transactions.. The Treasury Manager is responsible for managing treasury activities to achieve top performance and minimize the Company's financial risk.. Direct reports include Treasury Accountant, Sr. Accountant, and Accounting Specialist.
This goes for the emissions-free Electric Adventure Vehicles we build, and the curious, courageous souls we seek to attract.. Role Summary In the role of Analyst, Strategic Finance you will be responsible for building detailed bottoms-up financial models, managing the long-range plan of the organization, conducting ad-hoc research and business case modeling—including business units, facilities planning, vertical integration, and more to help support Rivian’s strategic and financial objectives.. You will work closely across Rivian’s finance, strategy, sales, operations, product, and engineering teams to help forecast our business and drive strategic initiatives.. Candidate Data Privacy Rivian may collect, use and disclose your personal information or personal data (within the meaning of the applicable data protection laws) when you apply for employment and/or participate in our recruitment processes (“Candidate Personal Data”).. Rivian may transfer or store internationally your Candidate Personal Data, including to or in the United States, Canada, the United Kingdom, and the European Union and in the cloud, and this data may be subject to the laws and accessible to the courts, law enforcement and national security authorities of such jurisdictions.
Sr. Compliance/ Audit Officer – To $150K – Boston, MA – Job # 3357 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 Sr. Compliance Manager role in the Boston, MA market.. Serve as a resource and support to Bank Management and employees on compliance issues.. Act as the Bank’s subject matter expert for HMDA. Oversee the accurate preparation, documentation, and reporting of the Bank’s HMDA LAR. Provide monthly compliance updates to the Finance Committee of the Board of Directors.. CRCM certification desired.
We’re looking for a Director of Finance/ Controller to oversee the daily operations of our Finance Department.. Leads and manages the finance department providing guidance and support to ensure efficient operations across various functions including accounts payable, accounts receivable, and general accounting.. Provides oversight in cash flow monitoring, ensures compliance with internal controls for fund transfers and wire payments, evaluates investment of excess cash, and manages the banking relationship with banking partners.. Collaborates with tax partners (PwC) to complete quarterly federal and state income tax estimates and annual tax returns.. Bachelor’s degree in Finance/Accounting, MBA or CPA preferred.
Why This Role is Important to UsThe Sr. Director of Internal Audit position is a key member of the Commonwealth Care Alliance's Internal Audit team responsible for the successful completion of external regulatory compliance audits including, external regulatory compliance audits.. The position reports to the SVP, Internal Audit and Enterprise Risk Management.. Develop and implement comprehensive internal audit policies, procedures, and risk assessments in alignment with the organization's goals.. Educate and train team members and other employees about risk management and internal controls.. Ensure all data privacy and IT controls are closely followed to maintain high standards of data security.
Your Job Koch Engineered Solutions in Wichita, KS, is seeking a Senior Treasury Analyst to transform our Trade Finance function and support a diverse range of Treasury activities on a global scale.. Familiarity with data visualization tools (Power BI, Tableau).. We are Military Ready and Second Chance employers.. Who We Are As a Koch company, Koch Engineered Solutions (KES) is a dynamic network of businesses that work together to create an ecosystem of domain expertise to increase operational efficiency, improve safety, reduce waste, and reduce emissions.. Our benefits plan includes - medical, dental, vision, flexible spending and health savings accounts, life insurance, ADD, disability, retirement, paid vacation/time off, educational assistance, and may also include infertility assistance, paid parental leave and adoption assistance.
The Director will be responsible for various aspects of payment operations including but not limited to understanding our various payment acceptance formats and overall cost of payments, working with card processors and networks, card dispute management and resolution, bad debt analysis, in addition to supporting broader corporate finance strategies.. Aware of industry trends and the potential impacts to GEICO, anticipate change and position the treasury operations function for optimal execution.. Qualifications: Minimum 10-15 years of relevant experience in payments or treasury operations and/or corporate finance / banking background.. Bachelor’s degree in finance, economics, or accounting with strong preference for additional graduate degrees or certifications (Masters, MBA, CTP, etc.). to help secure your financial future and preserve your health and well-being, including:Premier Medical, Dental and Vision Insurance with no waiting period
Sr Analyst, Strategic InitiativesJob SummaryThis role will support the development, prioritization, and tracking of key strategic initiatives within the Global Licensing department, including support of budgeting and forecasting licensed sales, QBRs, internal reporting, company presentations with a focus on new business development efforts that will require financial modeling and building business plans with potential licensed partners for new market entries.. Additionally, this role will partner closely with the Finance team to ensure alignment.. Shack Fans lined up daily, making the cart a resounding success, and donating all proceeds back to the park beautification efforts.. With our roots in fine dining and giving back to the community, we are committed to high quality food served with a high level of hospitality.. Our team members enjoy a positive work environment that is deeply committed to the philosophy that we "Stand for Something Good."We are expanding across the U.S. and around the world!