Please send resume on prashant.c@spectragrp.com Job Description: Title: Senior BI Analyst Line of Business: Corporate Finance - Treasury Start: ASAP Duration: 6 months Hybrid you should have demonstrated experience in designing, implementing and executing SQL, DAX, and M Queries. You'll be responsible for bridging data and business requirements, asking insightful questions and mining the answers. This role plays an important part in leading projects and influencing cross-functional teams such as Business Intelligence, Data Science, Operations, Finance and Treasury. Possess a strong proficiency in SQL, Excel, and building dashboards with using BI Tools such as Power BI. Can read an ETL pipeline and collaborate with Data and Software Engineers
Leeds Professional Resources is seeking a highly analytical and data-driven Sr. Asset Management Analyst to lead the review, analysis, and performance monitoring of our multifamily portfolio.. This position requires a strategic mindset with the ability to work cross-functionally with teams across development, acquisitions, accounting/finance, property management, and HR/Admin/IT to align on performance metrics and drive portfolio optimization.. Oversee the review and analysis of a multifamily portfolio, ensuring performance is aligned with budget and investment proforma.. Analyze financial statements, leasing reports, market data, and operating reports, providing actionable insights for senior leadership.. Provide in-depth analysis of budget variances and forecast asset performance relative to debt/equity hurdles and underwritten return parameters.
Reports to: Controller + Dual Reporting with CR & BSA/AML Officer. Assist in maintaining and implementing internal controls, policies, and procedures related to BSA/AML, OFAC, and regulatory compliance when it applies to BaaS and traditional banking.. Support the implementation and maintenance of risk management programs tailored to BaaS activities, including third party risk management, data security, and compliance.. Assist in ongoing compliance monitoring for applicable regulations, including BSA/AML, UDAAP, EFTA, Reg E, Reg Z, GLBA, and CFPB expectations specific to fintech-partnered banking models.. 2–4 years of experience in bank risk management, regulatory compliance, or audit, ideally within a BaaS, fintech, or third-party risk environment.
Support internal controls, audit readiness, and ensure compliance with IFRS accounting standards and financial governance.. Bachelor's degree in Finance, Accounting, Economics, or related field required; MBA or CPA preferred.. 5-8 years of progressive FP&A or finance-related experience, ideally in consumer goods, retail, or beauty industries.. Korean-Bilingual required to communicate regularly with HQ.. Advanced Excel and financial modeling skills required (e.g., INDEX/MATCH, PivotTables, scenario modeling, dashboards).
Grayscale is a crypto-focused asset manager. We have over a decade of operational experience managing crypto funds and pioneered the model of offering exposure to cryptocurrencies in the form of a security. We’re proud of our crypto expertise and work closely with individual and institutional investors as they explore this asset class as part of their portfolio allocation. 10–15+ years experience in investor relations, investment banking, corporate finance, or capital markets. Experience operating in a highly regulated environment, including SEC reporting standards, SOX compliance, public company disclosure obligations, and earnings process management.
This managing level employee is responsible for providing guidance on financial planning and analysis efforts, directing internal audit processes, ensuring proper development of budgets and forecasts, overseeing financial modeling efforts, and leading strategic financial planning efforts.. Directs internal audit process, reviews audit results, and engages with auditors to resolve complex issues, implement changes to internal controls and proactively assess high risk areas.. Ensures budgets and/or forecasts are developed in accordance with business strategic initiatives by overseeing budgeting trends; directing budget and forecasting; and overseeing development of department/regional budgets.. Directs Financial Statement Analysis of business partners (e.g., suppliers, customers, co-packers, acquisition targets) by overseeing information reported from software systems (Internet, Bloomberg, and D&B), annual reports, and/or interviews; ensuring that the financial status (viability) of business partners is adequate; and monitoring risk implications.. Bachelors degree in finance, business, or related field and Minimum ten (10) years Financial Planning & Analysis experience, or directly related business experience.
We believe in working in collaborative teams with an emphasis on open-door policy and encouraging entrepreneurial thinking.. Perform external audit procedures on financial statements and internal controls. 1 - 2 years of public accounting external audit experience, preferably public sector. Firm Paid Becker CPA Review Course & Reimbursement for Exam Fees. Health & Wellness Program
The Senior Manager, Enterprise Risk Management (ERM) - Third Party Risk Management, is responsible for continually monitoring, evaluating, and managing risk associated with third party vendors, partners, and customers.. In addition, this role will unlock efficiencies in the third-party risk management lifecycle by designing new end-to-end assessment workflows and operating models and drive increased visibility to threat vectors.. Experience in compliance, financial crimes (anti-money laundering / know your customer), sanctions screening, business controls, audit or finance. A professional certification (CPA, CISA, CMA, CIA, CIPP, CISSP). Experience with LexisNexis, Dow Jones, FinScan, Comply Advantage, or other sanctions screening solutions
Those in mergers and acquisition tax at PwC will focus on providing tax advice and guidance during mergers, acquisitions, and other business transactions.. As a Mergers and Acquisition Partnership Tax Senior Associate, you will play a pivotal role in providing tax advice and guidance during mergers, acquisitions, and other business transactions.. Investment Banking - Mergers & Acquisitions - Associate. Private Equity Associate - SF - 2026 start. Equity Research Associate (Semiconductor)
Support internal controls, audit readiness, and ensure compliance with IFRS accounting standards and financial governance.. Bachelor's degree in Finance, Accounting, Economics, or related field required; MBA or CPA preferred.. 5-8 years of progressive FP&A or finance-related experience, ideally in consumer goods, retail, or beauty industries.. Korean-Bilingual required to communicate regularly with HQ.. Advanced Excel and financial modeling skills required (e.g., INDEX/MATCH, PivotTables, scenario modeling, dashboards).
Join a leading financial services team where you'll manage and grow a portfolio of Commercial Real Estate, Corporate, and Specialized Banking relationships.. You'll play a key role in underwriting, credit monitoring, and portfolio management driving client satisfaction, retention, and growth.. Identify and refer opportunities for additional bank products and services (e.g., Treasury Management, International Banking, Private Banking, Capital Markets).. Help shape the bank's growth strategy through high-impact portfolio management.. Acts in compliance with all applicable laws and regulations as outlined in training materials, including but not limited to Bank Secrecy Act. Responsible for reporting suspicious activity to Financial Intelligence.
Senior Associate, HR at Public Policy Holding Company About Us Public Policy Holding Co. (PPHC) is a group of premier advisory firms specializing in government affairs, public relations, strategic research, grassroots influence, and digital campaign solutions.. Own the company’s financial control environment, including internal controls, SOX readiness, and financial risk management.. Manage banking and treasury relationships, including cash management, FX management, financial derivatives, debt compliance, and capital structure support.. Deep expertise in U.S. GAAP, SEC reporting, SOX/internal controls, and technical accounting.. Eligibility for employee incentive equity compensation programs
Supporting the Department of the Navy (DON) audit response, audit remediation, internal controls, financial processes, and/or accounting in accordance with GAAP, SFFAS, and/or relevant Department of the Treasury and OMB policies.. BA/BS/BBA degree from an accredited college/university.. One of the following certifications: CPA, CDFM, CGFM, or CIA. Active Secret Clearance at minimum required (requires U.S. citizenship).. Experience in federal/DoD financial statement auditing, audit remediation, and audit readiness
Consulting Manager, Treasury.. Our team consists of finance specialists that bring experience and technical capabilities across the spectrum of finance, including financial close, digital reporting, risk advisory, treasury and more. 2+ years of Kyriba or TMS implementation experience; CTP is a plus.. Strong project management experience including workplan creation and updates, milestone tracking, risk management, status updates, change management, engagement economics (profitability), and communications.. Provide TMS subject-matter expertise to client engagements, involving assessment, treasury process transformation, vendor selections, and TMS implementations
Step into the world of high net-worth banking as Vice President of Lending at Dollar Bank. In this role, you will have the chance to create and manage a diverse portfolio of loans and deposit products delivering exceptional financial solutions tailored to each individual’s unique needs.. Five (5) years of lending experience in Private Banking, Business Banking or Commercial Lending with a demonstrated history of sourcing new business opportunities.. Understanding of collateral, valuation, perfections, and liquidation.. Gather financial and credit information and work with credit analyst and underwriter to underwrite loan proposals.. Refer business to other asset areas of Dollar Bank to include, but not limit to: Corporate Banking, Treasury Management, Business Banking and Commercial Real Estate.