Monet Bank is pioneering the future of banking and money movement-faster, cheaper, and crypto-native.. See our open positions below if you want to work on the new frontier of banking projects like a stablecoin-based payment that would empower merchants to reclaim margins, Fintechs to operate cross-border at scale, and tech giants to embed crypto into their platforms without friction.. Implement hedging programs for foreign exchange and interest-rate exposures. Collect, aggregate and deliver input data required by our 3rd Party asset liability management (ALM)/Interest Rate Risk vendor on a regular basis;. Receive, analyze and distribute reports and results received from our 3rd Party ALM/Interest Rate Risk vendor on a regular basis.
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.
Performs Teller duties: Receives deposits for all deposit accounts, verifies cash and endorsements, and issues receipts; cashes checks and pays out cash upon verification of signature and customer balances within limits set forth; places holds on accounts for uncollected funds, and pays withdrawals after verifying balance and signatures; gathers conductor information when necessary under Bank Secrecy Act guidelines.. Functions as a sales leader within the banking center, selling bank services to existing and potential customers, referring customers and potential customers to Central Investment Center, Trust Department/Wealth Management, Central Insurance Services, and Central Mortgage Center as appropriate, and promoting and encouraging teller referrals and sales.. Develops and maintains relationships with Central Bank business partners (Commercial Lending, Mortgage Lending, Wealth Management, CIC, and CIS) to maximize sales opportunities and achieve integration income goals.. Performs quarterly audits on tellers, official check logs, the collateral vault and other various documented items to maintain internal controls within the banking center detailed in the Banking Center Self-Audit Guide.. Assists in the process of consumer lending by taking and entering consumer loan applications Receives mortgage, installment loan
Performs Teller duties: Receives deposits for all deposit accounts, verifies cash and endorsements, and issues receipts; cashes checks and pays out cash upon verification of signature and customer balances within limits set forth; places holds on accounts for uncollected funds, and pays withdrawals after verifying balance and signatures; gathers conductor information when necessary under Bank Secrecy Act guidelines.. Functions as a sales leader within the banking center, selling bank services to existing and potential customers, referring customers and potential customers to Central Investment Center, Trust Department/Wealth Management, Central Insurance Services, and Central Mortgage Center as appropriate, and promoting and encouraging teller referrals and sales.. Develops and maintains relationships with Central Bank business partners (Commercial Lending, Mortgage Lending, Wealth Management, CIC, and CIS) to maximize sales opportunities and achieve integration income goals.. Performs quarterly audits on tellers, official check logs, the collateral vault and other various documented items to maintain internal controls within the banking center detailed in the Banking Center Self-Audit Guide.. Assists in the process of consumer lending by taking and entering consumer loan applications Receives mortgage, installment loan
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
ABC is the Federal Markting Order for the #1 exported U.S. Speciality Crop and California's #1 agricultural export, helping the industry responsible for almost 80% of global almond production.. We're seeking a skilled and dynamic finance leader to oversee accounting functions, uphold top-notch internal controls and accounting standards, and produce accurate financial statements.. This is a full-time exempt position based at our headquarters in Modesto, CA with a hybrid work schedule.. Assist Senior Director and manage domestic/international bank accounts and foreign exchange transactions. Manage daily cash flow and develop monthly spend patterns to support ABC's cash flow needs
Today, BREDS has more than $76 billion in investor capital across high yield / opportunistic real estate credit funds, a publicly traded Mortgage REIT, CMBS securities and insurance capital.. Blackstone is the world's largest alternative asset manager with more than $1 trillion in assets under management.. Blackstone's global investment strategies focus on real estate, private equity, infrastructure, life sciences, growth equity, credit, secondaries and hedge funds.. These properties span across different sectors such as office spaces, retail outlets, industrial sites, multifamily units, condominiums, student housing, and hospitality venues.. Demonstrated understanding of complex commercial real estate structured-finance transactions is essential.
The New York Stock Exchange (an Intercontinental Exchange company) is seeking a Regional Director to join the Capital Markets team. The Regional Director will liaise with C-level executives, investor relations professionals, bankers, law firm professionals, members of the trading community, marketing, and regulation teams. Collaborate with colleagues in a unified team approach to supporting Capital Markets and winning business.. Experience in / familiarity with investment banking, consulting, venture capital, familiarity with private equity preferred.. The expected base salary for this role, if located in New York, is between $160,000 - 300,000 USD. The base salary range does not include Intercontinental Exchange's incentive compensation.
Every day, our teams harness cutting-edge AI and breakthrough technologies to collaborate with clients, driving transformative solutions that redefine industries and uplift communities worldwide.. We're seeking a future team member for the role of Vice President, Compliance & Control (Wealth Management) to join our Risk & Compliance team.. Providing compliance advice to the wealth management business, including investment management, alternative investments, fiduciary and custody services.. Providing subject matter expertise in OCC regulations, as well as Cayman Islands regulations and state fiduciary requirements.. Preferred candidate should have a minimum of 7 years' experience in the financial services industry or other equivalent work experience with knowledge of alternative investments and OCC asset management regulations.
You will act as the chief operating/strategy officer for two APCS businesses that serve Agency and Partners and ALCS Sector/Geos. You will partner closely with APCS leadership, drive planning, define priorities for the Large Customer Sales (LCS) organization in line with ALCS, and ensure these priorities land operationally.. Build, manage, and coach a team of Strategy and Operations Managers and Analyst functions.. 8 years of experience in management consulting, sales operations, business strategy, investment banking, venture capital, private equity, or corporate advisory, or 6 years of experience with an advanced degree.. 2 years of experience in advertising, consultative sales, business development, or a digital media environment.. Applicants in the County of Los Angeles: Qualified applications with arrest or conviction records will be considered for employment in accordance with the Los Angeles County Fair Chance Ordinance for Employers and the California Fair Chance Act. Applicants in San Francisco: Qualified applications with arrest or conviction records will be considered for employment in accordance with the San Francisco Fair Chance Ordinance for Employers and the California Fair Chance Act.
Responsibilities also include preparing board-facing financial reports, fulfilling grant and regulatory reporting obligations, and delivering analytical insights to support executive decisionmaking.. The role champions strong internal controls and drives continuous improvement in reporting processes and systems.. Maintain and enhance internal controls related to financial reporting and audit readiness.. Oversee implementation and optimization of financial systems and tools used for reporting and analysis.. Workday)and data tools (e.g., Power BI, Snowflake).
Senior Consultant Risk and Compliance (Regulatory Reporting) We are hiring at all levels including Consultant, Senior Consultant, and Principal - Compliance & Risk. Join a cross-cultural global team working on business consulting engagements such as Risk & Finance digital transformation and regulatory change management.. Your roles will include process consulting, experience design, business analysis, applied AI, tech strategy, program and change management.. Basic Qualifications Hands-on experience with regulatory requirements/reports CCAR, ESMA, FCA, EMIR, MIFID, CFTC, SEC. Proficiency with databases, SQL, MongoDB, Excel, PowerPoint. Ability to work in cross-cultural teams and support multiple time zones
Firm Profile Ducera Partners is a leading investment bank with expertise in mergers & acquisitions, strategic advisory, restructuring, liability management, capital markets, and growth capital.. Analysts are expected to be involved in the development, structuring and financing of transactions and regularly attend internal and client meetings, negotiations and due diligence sessions.. The annual base salary range reflects the low and high targets of the estimated base salary range for this position.. The range listed reflects base salary only, and the total compensation package may include other components.. We do not discriminate on the basis of race, color, religious creed, religion, sex, pregnancy, national origin, ancestry, citizenship status, age, marital or partnership status, sexual orientation, gender identity or expression, disability, medical condition, genetic information or predisposition, veteran or military status, status as a victim of domestic violence, a sex offense or stalking, or any other category protected by law.
At Allspring, our vision is to inspire a new era of investing that pursues both financial returns and positive outcomes.. Allspring is a company committed to thoughtful investing, purposeful planning, and the desire to deliver outcomes that expand above and beyond financial gains.. By working closely with senior management, you will contribute to increasing our company's efficiency and profitability by assisting with the formulation of both the medium and long-term financial plan.. We currently operate in a hybrid working model, whereby you will be required to work in-office 3 days a week.. Analyzing the firm's financial performance against historical and forecast data and benchmarking against our peers and competitors.
As we scale rapidly into new opportunities, we’re hiring a Director of Finance to lead financial strategy, systems, and execution.. Provide decision support across budgeting, forecasting, and scenario planning.. Strong experience managing financial operations including budgeting, procurement, risk, insurance, and audit.. Track record of leading M&A due diligence, debt financing, or capital stack planning.. Experience working in a remote, fast-moving company environment.
We\'re looking for a Senior Treasury Operations Analyst to play a key role in managing day-to-day treasury functions and supporting strategic financial initiatives.. In this highly collaborative role, you’ll work closely with cross-functional teams—including Accounting, Tax, Legal, and Property Operations—as well as external partners to ensure seamless execution of treasury operations.. Serve as a backup for the Cash Ledger processes , including identifying duplicates, coding transactions accurately, and performing checks; maintain documentation and investigate unidentified transactions in the Treasury Workstation (Quantum).. An advanced degree or a Certified Treasury Professional (CTP) certification is a plus.. Financial Wellbeing: Competitive compensation, 401(k), rent discounts, FSA/HSA, company-paid life & disability insurance
Responsible for supporting the underwriting and execution of debt transactions and portfolio management for late-stage companies or sponsor finance portfolio management companies.. Also assists with various aspects of the deal process, working closely with senior team members to provide creative late-stage and leveraged capital solutions to clients, prospects and portfolio management companies.. Financial Modeling – generates projection models based on financial sponsor or internal assumptions with substantial analysis of historical financials.. Due Diligence – review target company and sponsor provided materials including historical financials, management presentations, CIMs, etc.. Benefits are an integral part of total rewards and First Citizens Bank is committed to providing a competitive, thoughtfully designed and quality benefits program to meet the needs of our associates.
FUNCTIONAL REPORTS TO: Regional Director of Finance FLSA STATUS: Full Time / Salaried / Exempt. These responsibilities and tasks are coordinated with the General manager, as well as ASM’s Regional Director of Finance.. Manage and maintain internal controls and compliance in Accounts Payable, Accounts Receivable, and Box Office/Ticketing.. Manage all Payroll, Accounts Payable, & Accounts Receivable functionsHire, train, and retain finance and accounting staff.. REPORTS TO: General Manager FUNCTIONAL REPORTS TO: Regional Director of Finance FLSA STATUS: Full Time / Salaried / Exempt
JBG SMITH, is a leading owner, operator, and developer of mixed-use properties concentrated in amenity-rich, Metro-accessible submarkets throughout the Washington, D.C. Metropolitan Statistical Area (MSA).. As a vertically integrated real estate investment manager, JBG SMITH oversees every aspect of the asset lifecycle—from acquisition and development to asset management, leasing, property management, and disposition.. JBG SMITH has a long-standing track record as a disciplined investor and capital allocator, with a strategy rooted in rigorous underwriting, data-driven market selection, and active asset management.. JBG SMITH is seeking Senior Financial Analyst candidates to support its Investments team.. Experience: 2 - 4 years of experience with superior quantitative skills and analytical abilities (investment banking, real estate finance, private equity, or brokerage preferred)
Work Zone Traffic Control is part of the Helix Traffic Solutions network and delivers expert traffic management services across Colorado and New Mexico.. With a strong focus on safety and efficiency, Work Zone partners with CDOT to design well-managed traffic plans, oversee lane closures, flagging operations, custom signage, and equipment rentals for construction zones—all in service of protecting both workers and the traveling public.. The Director of Finance is responsible for the oversight of the day-to-day accounting operations, the monthly close process, financial statement preparation, analyses, regulatory reporting, as well as the strategic financial planning and reporting.. The Director of Finance is a key member of the organization’s leadership team.. Full ownership and accountability for all aspects of the accounting operations including daily cash management, accounts receivable and invoicing, accounts payable, general ledger maintenance, fixed asset subledgers and account reconciliations.