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
The Controller will play a key role in managing all aspects of fund-level financial reporting, compliance, and operations.. The ideal candidate will have prior experience working with a venture capital or private equity fund and a strong foundation in fund accounting.. Coordinate with fund administrators, auditors, and legal counsel. Assist in the development and improvement of financial systems and internal controls. 4-6 years of experience in fund accounting for a venture capital or private equity fund
Licensing requirements: FINRA Series 7/66 (63/65). In partnership with branch manager and/or investment sales associate, leads the branch team on actions to achieve investment results. Managing Risk - Assessing and effectively managing all of the risks associated with their business objectives and activities to ensure they adhere to and support PNC's Enterprise Risk Management Framework. Client Prospecting, Client Relationship Building, Credit Risk Analysis, Customer Engagement, Financial Analysis, Financial Modeling, Investment Banking, Public Speaking, Relationship Building, Relationship ManagementCoaching Others, Customer Experience Management., Customer Retention, Effective Communications, Interpersonal Relationships, Managing Multiple Priorities, Prospecting., Sales Tasks And Activities, Selling. BachelorsNo Required Certification(s)FINRA Series 7 and 66 (or 63,65) required.
Position Summary We are seeking an experienced Business Development professional to identify, cultivate, and close new business opportunities with private equity firms investing in the aerospace and defense sector and their portfolio companies.. Identify and target private equity firms with active aerospace and defense sector investment strategies, including buyout, growth equity, and specialty defense funds. Contribute to market intelligence reports, case studies, and thought leadership content. Build relationships with investment banking intermediaries, deal attorneys, and other professional service providers in the PE defense ecosystem. This role offers the opportunity to build specialized expertise at the intersection of private equity and defense, working with sophisticated investors on high-stakes decisions that shape the future of the aerospace and defense sector while building long-term client relationships across multiple investment cycles.
Vast Bank is looking to hire a VP, Treasury Operations Manager!. The Treasury Operations Manager is responsible for marketing, selling and implementing the Bank's Treasury Services products to customers and prospects; ongoing relationship management and product support for Treasury Services portfolio; monitors market condition/trends so the Bank will remain competitive in local market; ensure products, agreements and collateral is kept up to date, compliant and accurate; manage development of staff.. Provide Board reporting and metrics relating to current Treasury Services customer base, report current and year over year income, originated and received items and anything further requested by the Board, Audit or Executives.. Minimum of 10 years of experience in Treasury services, banking/financial services.. Experience with risk management, incident response, and disaster recovery.
As the Plant Controller at Alcom LLC, the #1 aluminium trailer manufacturing company in North America, you will be responsible for overseeing the financial operations of the manufacturing plant.. Your role will encompass budgeting, forecasting, and financial analysis to ensure the plant operates efficiently and within its financial targets.. You will work closely with plant management to drive profitability and efficiency, ensuring that financial strategies align with overall business objectives.. While this role will be resident at a plant, the plant controller will participate in and possibly lead company-wide finance process improvement initiatives Leverage ERP and financial systems (e.g., Genius) for accurate data management and reporting. Bachelor's degree in Accounting, Finance, or a related field (CPA, CMA, or MBA preferred)
Experienced candidate in Loan and Deposit Management Department, specializing in marketing, execution and management of investment banking products. -Conduct thorough risk and feasibility analyses for project finance transactions, evaluating key. -Proven experience (3+ years) in Investment Banking with a focus on project finance and infrastructure. -Strong analytical skills for project finance structures, loan documents, relevant agreement and. - Bilingual proficiency in English and Korean
Our client is an $50bn global asset manager looking to hire a VP on their middle market private equity team.. The VP will focus on investment sourcing, due diligence, and portfolio management functions of the firm.. 6+ years of total work experience in private equity investing. Excellent academic credentials, Bachelors degree or above, preferably within a finance, economics or mathematics discipline. Experience in conducting research and due diligence, and producing client ready investment materials
The Financial Analyst/Senior Financial Analyst, Investments is a key member of the Ventas Investments group, a proven deal team with a strong track record, closing more than $30B+ of investments in the past decade.. With investment sizes ranging from a few million up to several billion, the Financial Analyst/Senior Financial Analyst is an integral driver of the underwriting, due diligence, approval and closing for potential investments across the healthcare spectrum.. The Financial Analyst/Senior Financial Analyst, Investments will have the opportunity to work on acquisitions, dispositions, public company mergers, ground-up developments, redevelopments, and debt financings across the entire healthcare continuum, with a focus on (but not limited to): senior housing, outpatient medical, and life sciences.. Showcase the underwriting and due diligence of potential acquisitions to the Ventas executive leadership team through effective presentations. 1 - 6 years of experience; desirable experience could include: analytical roles/internships in commercial real estate, corporate finance, investment banking, or private equity
Controller – Healthcare, Private Equity-Backed. Who: A rapidly growing company in the Healthcare industry backed by Private Equity.. What: Seeking an experienced Controller to lead accounting operations, reporting, compliance, and ERP optimization.. Collaborate with CFO on strategic planning and execution. Optimize ERP systems (NetSuite, Sage Intacct, SAP) for automation and data integrity
The Fund Accounting Department is responsible for the financial and investor reporting associated with Golub Capital’s private (e.g., non-Business Development Company) investment funds and vehicles. Key responsibilities include the set up and ongoing maintenance of investment vehicles / capital accounts; monthly closes and ongoing maintenance of each fund’s general ledger; production of quarterly financial and investor reporting; support of annual external audits of approximately 30 financial statements; forecasting fund performance; and producing management and regulatory reporting. The Fund Accounting Department interacts extensively with Golub Capital’s Operations, Treasury, Tax, Investor Communications, Technology Solutions, Business Development, Compliance and Valuation Teams. Assist the Investor Communications Team in meeting regular / periodic investor reporting requirements and responding to various investor requests through the preparation of quarterly statements.. At least 3 years of relevant experience in similar business is strongly desired (private equity / leveraged finance / hedge fund or similar), public accounting background in financial services is helpful
Sumitomo Mitsui Financial Group, Inc. (SMFG) is the holding company of SMBC Group, which is one of the three largest banking groups in Japan.. In the Americas, SMBC Group has a presence in the US, Canada, Mexico, Brazil, Chile, Colombia, and Peru. Backed by the capital strength of SMBC Group and the value of its relationships in Asia, the Group offers a range of commercial and investment banking services to its corporate, institutional, and municipal clients.. The Group’s operating companies in the Americas include Sumitomo Mitsui Banking Corp. (SMBC), SMBC Nikko Securities America, Inc., SMBC Capital Markets, Inc., SMBC MANUBANK, JRI America, Inc., SMBC Leasing and Finance, Inc., Banco Sumitomo Mitsui Brasileiro S.A., and Sumitomo Mitsui Finance and Leasing Co., Ltd.. Compile deal notebook by summarizing key facts and features of the property and transaction, including cash sweep triggers and their testing period, and key milestone dates, such as deadlines for hedging extensions or maturity extension notifications, or TCO date for construction loans. 2-3 years of experience in either the portfolio management (a.k.a. account management or asset management) function or the credit risk management function of a lending institution preferred
The DC office of Hogan Lovells is seeking a highly motivated junior tax associate with 1-2 years of experience to join its dynamic tax practice to assist with corporate and partnership tax matters in connection with M&A, investment funds, capital markets, private equity, and other transactional work, both for domestic and cross-border matters.. Candidates with transactional tax experience including drafting, reviewing and negotiating transactional documents relating to mergers, acquisitions, dispositions, joint ventures and fund formation are encouraged to apply.. Candidates for lawyer opportunities in the U.S. must have a law degree from an ABaccredited law school and be a member of the Bar in the United States.. All search firm submissions should be sent to: JoinHoganLovellsDC@hoganlovells.com, Attn: Suzanne Hudgens, Lateral Associate Recruitment Manager, National.. Sign in to set job alerts for “Corporate Finance Associate” roles.
This senior role manages platform liquidity, capital calls and distributions, currency exposures, lending and short-term cash management, and supports investment activity and investor expectations.. Ensure optimal liquidity to meet capital calls, funding of investments, fee payments, GP commitments, and distributions.. Implement hedging strategies to mitigate currency risk, alongside Portfolio Management.. Collaborate with Risk and Compliance to ensure treasury operations meet regulatory standards.. Support liquidation of public stock positions received as distributions in kind.
Overview We are seeking experienced tax professionals from Associate up to Manager, Senior Manager, or Director level to join our growing Tax team serving clients in the asset management and broader financial services sectors.. This role offers the opportunity to work with some of the world’s leading hedge funds, private equity firms, venture capital groups, and other asset managers in a dynamic international environment.. FATCA and CRS-related reporting. Qualifications CPA (U.S.), EA (Enrolled Agent), CTA (UK), ACA, or LL.M. in Taxation. Prior exposure to international jurisdictions including FATCA, CRS, and local regulatory frameworks is an asset
A mission-driven, high-growth organization is looking for a sharp, strategic finance professional to join their team.. Support M&A activity through due diligence, financial analysis, and deal financing. 1-3 years of experience in investment banking, private equity or strategic finance. Proven Recruiting is minority-owned, majority women, and is a strong advocate for diversity and inclusion in the broader community.. Location: San Diego County, CA
The Director of Finance oversees the day-to-day financial operations of Wegner CPAs. The Director of Finance works closely with the Managing Partner and is responsible for financial planning, reporting, compliance, and ensuring the firm's financial practices support growth, profitability, and operational efficiency.. Manage cash flow, investments, and banking operations.. Implement internal controls to safeguard assets and improve processes.. Oversee preparation of firm's tax returns and work with Wegner's tax partner on preparing partnership tax return.. Skills and Experience Minimum of ten years of experience in finance or accounting preferred
Establish and oversee a forward-looking technology roadmap for the global FP&A team; foster a culture of continuous improvement and digital transformation within the Finance team.. Promote the adoption of AI-driven tools, Workday, ERP systems (Adaptive), and advanced BI platforms (e.g., Power BI); stay current with industry and technology trends, recommending innovative solutions for finance operations; guide the team in leveraging emerging technologies to enhance productivity and accuracy.. Collaborate cross-functionally with the CFO, COO, VP FP&A, and other leaders across the organization, including offshore teams.. Availability to attend early morning and late night calls with India/China at least 2-3 days per week. With a global team of more than 10,000 employees, ReSource Pro operates at the critical intersection of people, process, technology, and data to serve more than 1,800 clients across the carrier, broker, and MGA segments – consistently earning a +96% client retention rate for over a decade.
The Finance and Strategy Director supports the CFO and the senior leadership team in providing strategic financial analysis and modeling to inform operational and financial planning across time horizons.. Reporting to the CFO, the Finance and Strategy Director develops and manages the tools, processes, and analysis to provide tactical and strategic insight into Oakmont’s financial statements and their underlying drivers.. As needed the Finance and Strategy Director also helps to direct and organize strategic projects and key initiatives.. Whether it is a second chance at a high school diploma, the opportunity to graduate early and move on to college, or the training and credentials they need to start a career, we are honored to play a role in our students' journeys to a brighter future.. Senior Director II - Orthopaedic Surgery Director, Inclusion and Strategic Communications Area Director, Marketing & Business Development-III Director of Reimbursement and Payor Analysis Uniontown, OH $125,000.00-$150,000.00 1 week ago
Significant experience working in institutional crypto, including settlements, wallet management, custody, and liquidity management, is essential.. Key Responsibilities Treasury Operations Optimization: Assess and implement automation to drive efficiency and accuracy.. Strategy & Planning: Develop and implement an operating model for treasury operations that balances short-term capabilities and long-term needs.. Qualifications 15+ years of financial services experience in investment or banking operations, with at least 5 years in a leadership role, and experience in the digital asset industry managing treasury processes and teams is preferred.. Significant professional experience managing digital assets in treasury operations with technical expertise in crypto and a broad understanding of the cryptocurrency ecosystem.