BHE GT&S has an exciting summer internship opportunity for an Accounting, Finance, Economics, or Business student within our Treasury Department at our Headquarters in Glen Allen, VA. Daily cash management, monthly forecasting, annual budgeting, credit / hedging activities, debt management activities, variance analysis, journal entries, audits, financial reporting, financial modeling, etc.. An independent source of transportation for this summer 2026 internship is needed as there is limited public transportation options in the area.. Your summer internship will be a minimum of 8 weeks on site (June 1 - July 24).. Relocation Assistance Available for this position dependent upon eligibility requirements
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.. SMBC's Global Structured Finance Department is looking for an Associate to join its North America Project Finance Group.. The group covers the growing infrastructure industry (including digital infrastructure, transportation, and social infrastructure), the power industry (including conventional power generation, renewable power generation, and storage), and the natural resources industry (including LNG terminals, midstream assets, and renewable fuels), with a growing focus on ESG-themed projects.. Good understanding of Project Finance, Infrastructure Finance, Public Finance, Structured Finance, Project Bonds, Project Loans, Loan Sales & Syndication, Debt Capital Markets, Financial Advisory, Investment Banking, Financial Guarantees, PPPs is a plus. 3-5 years of relevant professional experience in project finance, leveraged finance, or investment banking viewed positively.
Checkr has over 100,000 customers including DoorDash, Coinbase, Lyft, Instacart, and Airtable. 4+ years in Strategic Finance/BizOps, including 2+ years converging B2B Go-to-Market business models. Foundational experience in investment banking, private equity, or management consulting preferred. Proficiency in SQL and Looker (or similar BI tools). Up to $25K reimbursement for fertility, adoption, and parental planning services
By expanding and innovating our services, we have expanded our footprint in services within the Logistics, Land Transportation, Shipping, Wind and Fuel industries.. To continue laying the groundwork and challenge what's possible for our business, we seek to partner with individuals ready to elevate their careers with us.. SUMMARY: The Internal Audit Manager is responsible for leading and executing internal audit activities across the organization to assess and improve the effectiveness of risk management, internal controls, and governance processes.. Must possess at least 1 relevant Internal Audit certification such as: CIA, CISA, CPA, CFE, or in the process of obtaining one within a year of joining the company.. EXPERIENCE: 5+ years of experience in public accounting or internal audit, with 3+ years of management experience.
Supporting Department of the Defense (DoD) General Fund and Working Capital Fund audit response, audit remediation, internal controls, financial processes, and/or accounting in accordance with Generally Accepted Accounting Principles (GAAP), Statements of Federal Financial Accounting Standards (SFFAS), and/or relevant Department of the Treasury and Office of Management and Budget (OMB) policies.. to work in a dynamic environment and effectively interact with numerous DOD, military/civilian personnel and industry partners. Experience with SharePoint, SQL, ACL Analytics, Python and/or Access databases. Certified Government Financial Manager (CGFM), Certified Defense Financial Manager (CDFM), Certified Information Systems Auditor (CISA), or other professional certification. Must have or the ability to obtain a DoD Secret clearance (requires US Citizenship)
Lead liquidity and cash flow management, including short- and long-term forecasting and treasury operations.. Own capital markets strategy, including evaluation and execution of securitizations, debt financing, warehouse facilities, and other structured finance vehicles.. 10+ years of progressive experience in finance, FP&A, or treasury roles, including direct exposure to capital markets or securitization transactions.. Hands-on experience with DataRails, Adaptive Insights, Anaplan, or other FP&A and financial consolidation platforms to streamline budgeting, forecasting, and reporting.. Exceptional proficiency with Excel, financial modeling, and data visualization tools (e.g., Power BI, Tableau).
RSM is looking for a Manager to join our Financial Due Diligence team within our Transaction Advisory Services (TAS) practice.. In this dynamic role, you will work with our nationally award-winning Mergers and Acquisitions (M&A) Advisory practice servicing both corporate and private equity clients.. Our Transaction Advisory Services team is comprised of seasoned, expert, nationally acclaimed and knowledgeable professionals providing buy-side and sell-side financial, technology, and operational diligence services and advice.. Minimum of 5 years experience in an audit or transaction advisory practice within a national or regional public accounting or consulting firm.. RSM will consider for employment qualified applicants with arrest or conviction records in accordance with the requirements of applicable law, including but not limited to, the California Fair Chance Act, the Los Angeles Fair Chance Initiative for Hiring Ordinance, the Los Angeles County Fair Chance Ordinance for Employers, and the San Francisco Fair Chance Ordinance.
Our mission is anchored in three core pillars: driving business innovation, accelerating economic development, and empowering communities, and rooted in the principles of access, equity, and inclusion, we are committed to fostering a thriving, resilient economy. The ideal candidate brings deep expertise in small business or commercial lending, a passion for economic empowerment, and the ability to build trusted partnerships across diverse communities and stakeholders. Pipeline Development: Cultivate relationships with entrepreneurs, financial institutions, referral sources, and ecosystem partners to generate a strong pipeline of mission-aligned lending opportunities. Portfolio Management: Oversee ongoing borrower relationships, conduct annual reviews, assess financial performance, monitor risk, and ensure covenant compliance. 5+ years of experience in small business or commercial lending, credit analysis, or portfolio management.
The National Trust Community Investment Corporation (NTCIC) is a wholly owned subsidiary of the National Trust for Historic Preservation.. Lead the Asset Management team and support Asset Management team members with each of their respective portfolios through the life cycle of each investment from closing through construction, delivery of HTCs at placement in service, lease-up, stabilized operations, and exit.. Oversee and support the team in the collection and review of NMTC investment documentation needed to ensure compliance with NMTC requirements, such as Substantially-All tests, CDE compliance, collection of AMIS and other CDFI reporting data, and QEI and QLICI documentation.. Master's degree in business, finance, or real estate (or equivalent) or 10 years of progressively responsible experience in community development tax credit equity investment, including at least seven years of multi-asset class commercial real estate investment analysis and underwriting experience.. Deep experience and technical knowledge of various tax credit programs (e.g., NMTC, HTC, ITC) and exposure to non-bank, private credit financing structures with social impact investment frameworks.
and shaped by its Christian heritage, the college of 1,100 students participates in athletics and is a member of the.. The Chief Financial Officer (CFO) and Controller serves as a senior leader within the Division of Finance and Accounting, responsible for the integrity, accuracy, and compliance of the college's financial operations.. This position oversees accounting, financial reporting, treasury, audit coordination, internal controls, endowment and grant accounting, and compliance with all applicable federal, state, and institutional regulations.. This individual works collaboratively across departments to support the college's mission and strategic goals through sound financial stewardship and operational excellence.. Manage daily cash operations,
The ideal candidate will have between 10 to 25 years of experience in responding to client/prospect compliance questionnaires and cybersecurity assessments, performing internal risk assessments, maintain awareness of existing and proposed cyber security regulations, and hands-on experience with audit, governance, risk, and compliance (GRC) frameworks. The ideal candidate will be a strategic thinker and hands-on contributor, capable of driving security initiatives across the enterprise. Paid maternity leave, paid paternity leave, and fertility benefits.. Investment Banking Analyst, Technology - Boston / New York City. Barings Investment Management Summer Internship
Company DescriptionRRD is a leading global provider of marketing, packaging, print, and supply chain solutions that elevate engagement across the complete customer journey.. This is a Hybrid role working 3 days in office, 2 days remote The Presentations Supervisor will be responsible for setting priorities, general project/team oversight, and understanding/deploying the resources required for a wide variety of requirements for a graphic design / creative team that creates captivating and innovative presentations for our bulge bracket, global investment banking client.. Depending on the role, in addition to base salary, the total compensation package may also include participation in a bonus, commission or incentive program.. RRD's benefit offerings include medical, dental, and vision coverage, paid time off, disability insurance, 401(k) with company match, life insurance and other voluntary supplemental insurance coverages, plus parental leave, adoption assistance, tuition assistance and employer/partner discounts.. #LI-RRD#GOC#LI-HybridAll employment offers are contingent upon the successful completion of both a pre-employment background and drug screen.
As a key member of the team, you will oversee all aspects of financial planning, analysis, and operations, ensuring transparency, efficiency and compliance as we scale.. Treasury & Cash ManagementOptimize treasury functions, managing both fiat and crypto liquidity, capital deployment, and operational cash flow.. Deep understanding of IFRS, GAAP, consolidation reporting, and transfer pricing.. Ability to manage both traditional finance operations and crypto-based financial structures.. Work in a highly technical environment, collaborating with some of the best minds in fintech and blockchain.
Were seeking a future team member for the role of Vice President, API Product Manager to join our Treasury Services Digital Channels team.. 3-5+ years of experience in product management, with a recent focus on APIs for treasury services.. North America Spring by Citi Product Commercialization Lead, SVP New York, NY $163,600.00-$245,400.00 2 weeks ago. Vice President, Product (Hedge Funds & Middle Office) New York, NY $281,000.00-$491,500.00 1 week ago. Vice President, Product Management & Investor Relations - Private Equity Secondaries J.P. Morgan Wealth Management- Vice President, Investment Product and Platform SVP, E-Trading Risk Management Spread Products & Equity - C14 (Hybrid) New York, NY $176,720.00-$265,080.00 1 week ago
Our client is a prestigious, hedge fund based in New York, NY. The firm is seeking a highly organized Executive Assistant to provide seamless support to a senior executive.. 3+ years of experience as an Executive Assistant, preferably in financial services, hedge fund, private equity, or a similarly fast-paced industry. Industries Investment Management, Investment Banking, and Venture Capital and Private Equity Principals. Vice President Finance and Banking Operations Auditor Vice President, CUSO Treasury Operations New York, NY $130,000.00-$170,000.00 1 week ago. Business Manager - Aladdin COO, Vice President Were unlocking community knowledge in a new way.
The Managing Director - Warehouse Lending for CSG - Corporate Mortgage Finance Group, will be an integral component to the building out of the Corporate Mortgage Finance Group vertical for Huntington Bank and will serve as a point person in determining the customer’s needs, meeting them through the seamless delivery of the bank's products, services and associated resources.. Initiate and deepen client relationships by leveraging capabilities in other areas of the bank (e.g., CSG, commercial banking, capital markets), thereby gaining market share and developing new areas of opportunity across the bank’s footprint.. Non-credit risk management and mitigation, including effective and proper collaboration with other internal team members involved with each specific client relationship. Review and negotiate loan documentation in consultation with legal counsel, the assigned RM/Banker, Underwriter/Portfolio Manager and CMFG leadership.. Proven ability to generate revenue growth through new client acquisition and cross-selling other banking services, including capital markets, treasury management, wealth management
CBIZ CPAs is an independent CPA firm that provides audit, review and attest services, while CBIZ provides business consulting, tax and financial services.. This high-growth practice requires a candidate to demonstrate in-depth technical audit and accounting expertise (including complex debt/equity, revenue, consolidation, business combinations) combined with a strong passion for relationship and people development, all while providing best-in-class client service.. Desire to build a team focused on audits of private equity and venture capital portfolio companies.. Ability to collaborate with other service lines, including with our tax private equity co-sourcing group, advisory and investment company assurance practices, to develop a go to market strategy targeting portfolio company audits.. Must be well versed in understanding private equity and venture capital investment life cycle, including the potential public and private exits of such fund investments.