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.
Today the Berkley brand comprises more than 60+ businesses worldwide and is divided into two segments: Insurance and Reinsurance and Monoline Excess.. Lead and/or perform financial and operational examinations, partnering with operational and IT audit teams to assess adequate management controls, efficiency, and compliance with policies, regulations, and accounting principles using sound, independent judgment.. Computer proficiency in Microsoft Office Excel and Word is a must; knowledge of PeopleSoft, Hyperion Smart View is a plus.. Strong knowledge of property and casualty insurance industry, GAAP and Statutory accounting principles as well as claims and underwriting operations.. Working knowledge of data analysis software such as ACL, IDEA and dashboard tools such as Tableau, Microsoft BI is a plus.
Qualifications Education/Credentials: Candidates must have a bachelor's degree in accounting, finance, business, or a related discipline; a CPA or CFA qualification is considered an advantage. Experience: 7+ years of relevant experience in financial consulting, investment banking, private equity, or corporate/portco finance. Founded in 2010, Palm Tree specializes in supporting private equity firms, business operators, and management teams through strategic events such as mergers, acquisitions, divestitures, carve-outs, recapitalizations, restructurings, and performance improvement initiatives. The firm’s unique model combines the expertise of private equity, Big-4 accounting, and investment banking, delivering actionable solutions tailored to the challenges of middle-market businesses. Transaction Advisory / Due Diligence Accounting / Reporting / US GAAP Finance / Modeling Operations / Performance Improvement Data / Technology M&A Capital Markets
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
Reporting to the Vice President for Finance and Assistant Treasurer, the Senior Director of Planning, Analytics, and Risk Management serves as a strategic leader responsible for overseeing the University's core financial functions, including financial planning, modeling and forecasting, treasury operations, cash management, and enterprise risk management.. The Senior Director partners closely with departments across Fordham University to support data-informed decision making, ensure alignment with institutional goals and maintain long-term financial sustainability.. Treasury and Cash Management Oversees the University's treasury operations and banking relationships, including cash management, liquidity planning, and debt portfolio management, in partnership with the Controller, ensures resources are available to support university operations and strategic initiatives.. Enterprise Risk Management (ERM) Designs and implements a comprehensive risk management framework to identify, assess, and mitigate financial, operational, and strategic risks, optimizing resource allocation while managing exposure.. Minimum of 8 years of progressive experience in finance, strategy, and/or analytics, ideally within higher education, large non-profit organizations, or a complex corporate environment.
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
Key responsibilities include balance sheet strategy development, asset/liability management, portfolio management, investor relations, capital planning, liquidity management, loan/deposit pricing, and other finance initiatives.. What You Will Do Work directly with the CFO to provide strategic and tactical leadership on capital markets and planning, including warehouse credit facilities and securitization activities of the organization. Manage the Company’s interest rate risk and liquidity. Take a leadership role in developing interest rate risk and other balance sheet management strategies that lead to strategic recommendations. Chartered Financial Analyst (CFA) or Certified Treasury Professional (CTP) designations a plus
This full-time exempt role provides strategic leadership and operational oversight of the university's financial functions, including accounting, compliance, treasury, and endowment management.. Oversee cash, banking, and procurement activities: manage banking relationships, online transactions (ACH, wires, e-checks), bond payments, and purchasing approvals; ensure secure and compliant financial processing.. Administer endowment and donor fund accounting: oversee Fundriver software, endowment spending calculations, donor reporting, and lifting of fund restrictions in coordination with University Relations and IT.. Support student financial services and systems: manage tuition and fee structures, the Transact Payments system, and coordinate with key departments (Registrar, Financial Aid, Residence Life) on timelines and billing processes.. Additional Duties Contribute to university governance and strategic initiatives: serve on key university committees (e.g., Investment, Emergency Response), act as delegate for the Vice President during absences, and support institutional planning as needed.
Who We Are : Headquartered in Greenville, North Carolina, with a dedicated game studio in Wilmington, Valicy represents a bold new chapter in gaming innovation.. Summary: The Chief Financial Officer (CFO) is a key strategic partner to the President and executive team, responsible for steering the company’s financial direction and ensuring its long-term financial health.. Financial Planning & Analysis (FP&A). Lead fundraising efforts, including venture capital, private equity, debt financing, or IPO readiness, depending on the company’s stage and strategy.. Optimize banking relationships and treasury operations to ensure sufficient capital availability.
The Global Finance Director will report to the CEO, taking responsibility for leading the finance function across all international operations.. Establish cash management and treasury operations across multiple currencies. Be accountable for transfer pricing policies for inter-company transactions. Professional accounting qualification (CA, CPA, ACCA or equivalent). Knowledge of transfer pricing and international tax considerations
Standardize and improve reporting frameworks, systems, processes and data governance to create leverage for the FBOS team and help Gusto scale.. Qualifications Experience 5+ years of relevant work experience in Finance & Strategy or Financial Operations within tech, fintech, and/or banking.. Experience building new processes and reports in an enterprise financial planning system (Pigment).. Familiar with human capital management, financial planning, and data visualization & analytics tools (e.g. Workday, Tableau, Redash).. The same office expectations apply to all Symmetry roles, Gusto's subsidiary, whose office is in Scottsdale.
Japan/Asia-focused Venture Capital Fund in the San Francisco Bay Area is on the market for a Corporate Venture Capital (CVC) Investor who will lead the full lifecycle of the corporate venture capital investments, from sourcing and due diligence to closing deals and supporting portfolio companies.. Be a Key Representative: Represent our firm and our Limited Partners within the broader entrepreneurship ecosystem, building valuable relationships and networks.. Contribute to Growth: Play a pivotal role in our fundraising efforts and support our Limited Partners' new business development initiatives through partnerships with current and prospective portfolio companies.. 5-10 years of relevant venture capital investing experience. Industries Venture Capital and Private Equity Principals, Investment Management, and Financial Services
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).
We offer year-round signature programs designed to uplift and strengthen individuals and families, including summer vacation packages and a day camp for kids.. The Director of Finance plays a key leadership role in managing the organization's day-to-day financial operations, including budgeting, reporting, audits, grants management, and internal controls.. This position ensures compliance with non-profit accounting standards and supports strategic decision-making through accurate financial reporting.. Strong knowledge of nonprofit accounting standards and fund accounting.. Oversee the organization’s accounting operations, including general ledger, accounts payable/receivable, payroll, and grants management.
Founded by experienced entrepreneurs, Jukebox Health is a fast growing healthcare services company backed by top venture capital firms like Valtruis and The Home Depot.. Oversee Controller/accounting team on month-end close and audit readiness. Partner with Sales/BD on contract negotiations and value-based care financial models. Deep understanding of unit economics in value-based care, home care, or tech-enabled services. Proficiency with financial systems (NetSuite, QuickBooks) and advanced Excel modeling
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.
This is a unique opportunity to play an important role in shaping the future of our treasury operations and partnering with senior leadership to enhance the business.. In this role, you'll leverage your extensive expertise to lead the treasury operations function for DailyPay. Reporting to the Treasurer, you will also liaise with our Capital Markets, Payment Operations, Financial Planning & Analysis, Accounting, Legal, and Data Analytics teams.. Improve the usage of our Treasury Management System (FIS Integrity) by actively seeking ways to enhance its functionality and efficiency, identifying and implementing new modules in order to automate processes. Treasury Manager, Capital Markets & Risk New York, NY $117,000.00-$187,000.00 2 weeks ago. Director of DTC/FED Settlements (Hybrid) Newark, NJ $120,000.00-$130,000.00 2 weeks ago
Key Responsibilities: Fundraising: Lead efforts to raise capital from institutional investors, venture capital firms, private equity, and other funding sources.. Strategic Partnerships: Develop and nurture partnerships with financial institutions and stakeholders to expand capital-raising avenues.. Experience: 5+ years of experience in capital raising, investment banking, private equity, or venture capital, with a strong network in the financial industry.. Financial Acumen: Deep understanding of capital markets, fundraising processes, and financial modeling.. Networking Ability: Proven ability to establish and maintain strong relationships with high-net-worth individuals and institutional investors.
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)
Overview Finance Analyst (Renewable Energy) – San Francisco (Hybrid). Renewable Energy | Project Finance | M&A | Tax Equity. This is a unique opportunity to work across project finance, M&A, tax equity, and capital markets strategy while supporting a world-class portfolio of utility-scale wind, solar, storage, and transmission assets.. Qualifications 1-3 years of experience in project finance, M&A, or structured finance. Backgrounds of interest include: independent power producers (IPPs), investment banking, infrastructure private equity, or clean energy developers