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Browse the latest Finance & Banking roles. Manage assets, analyze investments, and optimize financial strategies for top institutions.
The SVP, Regulatory Reporting (C14) role is a senior level position within the Controllers Organization that will report up through the Global Head of Regulatory and Capital Reporting.. The position will have a high level of visibility within the organization with opportunities to work directly with Executive Management and will interact very closely with other Finance and non-Finance functions throughout Client, including the Businesses, Risk, Treasury, Capital Controllers, SEC Reporting, Enterprise Data Organization, as well as Enterprise Technology, & Operations.. Perform assessments of identified data and control issues to determine impact to our US Bank Regulatory Reports, thru application of Regulatory Reporting expertise.. In-depth knowledge of U.S. regulatory reports such as those mentioned above along with exposure to Basel III capital regulations, GAAP/SEC Reporting and stress testing frameworks like CCAR.. Bachelor's/University degree in Finance, Accounting or related field; CPA or MBA preferred.
Kemin Industries is hiring a Treasury Manager to join our team!. The principal responsibility of this position is to oversee cash flow, managing financial risks, and developing strategies to optimize liquidity by monitoring daily operations, forecasting cash needs, maintaining banking relationships, and ensuring compliance with financial regulations, all while aiming to minimize financial risk and maintain a healthy capital structure.. We have been dedicated to using applied science to improve the quality of life for over half a century.. Kemin has a valued corporate partnership with both The World Food Programme and Habitat for Humanity, in addition to many local initiatives.. Responsibilities Cash Flow Management - accurately forecasting cash inflows and outflows, monitoring daily cash positions and managing liquidity to ensure sufficient funds are available for operations
The Managing Director (MD) of a buy-side investment banking firm holds a senior leadership role overseeing investment activities, deal sourcing, due diligence, transaction execution, and portfolio management.. Deal Sourcing & Evaluation: Identify investment opportunities, conduct due diligence, and assess financial and market risks.. Client Relationship Management: Build and maintain relationships with investors, clients, and industry partners, providing strategic insights and investment solutions.. Regulatory Compliance: Ensure adherence to regulatory standards and market best practices.. Extensive experience in buy-side investment banking, private equity, or asset management.
This role offers the opportunity to work on complex debt financing transactions, private equity financings, syndicated loans, structured finance, and regulatory compliance matters for leading financial institutions, private equity sponsors, and corporate borrowers.. Ideal Candidate Profile Juris Doctor (JD) Degree from a T-14 law school (Required).. 2-6+ years of experience handling corporate finance, leveraged finance, private equity financing, or structured finance transactions.. Experience in: Syndicated lending, asset-based lending, and acquisition financings.. High-yield debt offerings, mezzanine financing, and restructuring finance.
Investment Banking Associate - ABS Structuring Corporate & Investment banking Permanent contract New York, United States Salary from 104,000 to 200,000 Reference 24000EJ0 Start date Immediately Publication date 2024/07/15 Responsibilities SG’s Asset Backed Securitization team works with new and existing clients to provide creative financial solutions utilizing the fixed income capital markets through new issuance securitization.. SKILLS AND QUALIFICATIONS: Proactive problem-solving abilities Strong written and verbal communication skills Ability to work both independently as well as collaborate with team members Strong proficiency and technical skill in using Excel (including VBA), Intex (cdi programming language), Bloomberg.. Understanding of financial functions, cashflow modeling and “bond math”, including forecasting of prepayments, defaults Ability to understand industry concepts, including net present value, YSOC, risk retention, priority of payments. breakeven analysis, decrement tables, legal final maturities, residual valuation, rating agency methodologies, deal surveillance, prepayment and default forecasting.. Must Have: General/Technical Skills: Excel (VBA), Intex (cdi programming language), Strong written and verbal communication skills 5-8 years of experience Undergraduate degree in Finance, Mathematics or Engineering Language(s) English Nice to Have: CAS, Python, Access, SQL, cdi MS in Finance, MBA French
Wealth management and fiduciary audits in corporate, employee benefit, and personal trust relationships, propriety mutual funds, investment management, broker/dealer and security sales and trading activities.. Data Analytics supporting the continuous improvement of audit methodologies, audit approach and related practices with particular emphasis towards collaboration with key partners, leveraging the use of information analytics, business intelligence, data mining and other enabling approaches, technologies and tools.. Enhances and maintains morale of the audit staff. CPA - Certified Public Accountant CPA, CIA, CISA, or CFA. 6 + years of required experience in the Treasury space with Liquidity and/or IRRBB risk management coverage in a financial institution
Responsibilities include formulating and executing a comprehensive financial strategy aligned with the division’s objectives, overseeing financial planning, analysis, and forecasting for data-driven decisions, and maintaining strong relationships with private equity partners through regular updates and insights.. Implement Scalable Finance Systems and ERP Solutions: Facilitate seamless expansion and effective financial management.. Senior Financial Leadership: Minimum of 10 years of progressive experience, with a proven track record as a CFO or VP of Finance for a >$500 million manufacturing company.. Mergers and Acquisitions Expertise: Experience in managing M&A transactions, including thorough due diligence and integration planning.. ERP Deployment and Finance System Optimization: Expertise in implementing ERP systems and optimizing finance systems for enhanced efficiency.
Responsibilities include formulating and executing a comprehensive financial strategy aligned with the division’s objectives, overseeing financial planning, analysis, and forecasting for data-driven decisions, and maintaining strong relationships with private equity partners through regular updates and insights.. Implement Scalable Finance Systems and ERP Solutions: Facilitate seamless expansion and effective financial management.. Experience and Qualifications: Senior Financial Leadership: Minimum of 10 years of progressive experience, with a proven track record as a CFO or VP of Finance for a >$500 million manufacturing company.. Mergers and Acquisitions Expertise: Experience in managing M&A transactions, including thorough due diligence and integration planning.. ERP Deployment and Finance System Optimization: Expertise in implementing ERP systems and optimizing finance systems for enhanced efficiency.
Metis is partnered with a global leading commercial real estate and investment management company, who are looking for highly motivated Analysts to join their Real Estate Investment Banking team.. While prior experience in Real Estate Investment Banking is preferred, candidates with a background in other Investment Banking sectors will also be considered, provided they demonstrate a strong interest in real estate.. Applicants without prior investment banking experience are kindly requested to refrain from applying.. Outstanding quantitative and qualitative analytical skills; strong knowledge of finance and accounting and interest in real estate finance.. Previous investment banking experience from a leading firm (Real Estate focus preferred).
The Manager Treasury Operations oversees the System-wide treasury functions.. Works closely with the CIO and Chief Treasury Officer, assisting with oversight responsibilities for cash and treasury operations, short-term borrowing and investments, payments, cash forecasting, working capital management and optimization, and debt administration and compliance.. Ensure compliance with policies and procedures for Treasury Services including those related to cash management, financial reporting and debt compliance management.. Oversees treasury, cash management operations, and helps develop strategies to maximize efficiencies, safeguard assets and minimize costs, including daily cash positioning, cash reporting, electronic funds transfers, fraud prevention, and liquidity. Oversees System-wide cash forecast and collaborates with Revenue Cycle, HAP, CCS, Payroll and Accounts Payable to develop assumptions and analyze actual vs.
Our employees have the experience and vision to meet the needs of savers, borrowers, and businesses in the 21st century.. The Senior Leveraged Finance Commercial Loan Analyst is responsible for servicing a specific group of the division’s existing business customers and to assume responsibility for aspects of credit and loan management for those customers within the leveraged lending group.. In addition, this individual is responsible for evaluating and underwriting leveraged finance transactions, including leveraged buyouts, recapitalizations, and other corporate finance activities.. Conduct thorough financial analysis of potential leveraged finance transactions, including assessing historical and projected financial performance, evaluating cash flow metrics, and analyzing collateral value.. Stay abreast of market trends, regulatory developments, and industry best practices related to leveraged finance and commercial lending.
Balance sheet and treasury management: Liquidity and cash management: Cash management and cash flow forecasting and analytics (liquidity, deposits, balance sheet etc.). Capital management and stress testing (CCAR), scenario management and management. Credit risk management Policy and governance. Resolution and Recovery Programs and 165D plans across Capital, Liquidity, Governance Mechanisms, Operational, Legal Entity Rationalization, Insured Depository Institution Resolution, Derivatives and Trading.. Bachelors degree with exposure to Analytics, Applied Mathematics, Banking and Finance, Engineering and Business, Finance & Investment Analysis, International Business, Mathematical Economics, Mathematical Statistics, Quantitative Finance, Risk Management
You will work in integrated deal teams comprised of capital markets, corporate finance and mergers and acquisitions professionals across TD's various investment banking regional offices.. TD Securities' Financial Sponsors Group (FSG) provides dedicated coverage to a broad range of North American and Global private equity, infrastructure, pension and sovereign wealth funds.. FSG partners with various industry and product groups from across the firm to provide best-in-class, comprehensive advisory and execution solutions to our clients.. The VP Investment Banking TDS provides professional level of expertise as part of a client team and liaises with clients at various levels and helps execute on transactions.. In 2023, we acquired Cowen Inc., offering our clients access to a premier U.S. equities business and highly-diverse equity research franchise, while growing our strong, diversified investment bank.
Description POSITION DESCRIPTION: Qcells Distributed Energy Business (DE BUSINESS) is a leading innovator in the acquisition, development, and operation of energy assets, focusing on Community, Commercial, and Industrial (C&I) Solar and Energy Storage Systems (ESS) across the United States.. Our Unique Project Finance Model: Qcells DE BUSINESS utilizes an innovative Joint Venture (JV) Project Finance Structure, where we partner with Tax Equity Investors, Debt Financiers, and Private Equity Funds to finance solar and ESS projects.. We are seeking a Manager, Project Finance who will implement our JV-based financing transaction and support the Solar/ESS assets development.. Hanwha Q CELLS America Inc. (“HQCA”) is a Qcells company, one of the world’s largest manufacturers and providers of solar photovoltaic (PV) products and solutions.. Headquartered in Irvine, California, HQCA has been rapidly expanding its business in North America through the expansion of products and solutions, including distributed energy solutions, direct-to-homeowner solar sales and financing, and EPC services.
The scope includes the US Branches of Mizuho Bank, Ltd (MHBK), as well as the Mizuho Americas LLC bank holding company, which houses the non-branch subsidiaries.. SummaryIn this role, you will be part of a team responsible for the monthly production and continuous maintenance and enhancement of the 2052a report for Mizuho's consolidated U.S. Operations.. You are highly collaborative and are expected to liaise with a number of functions, including: Treasury, Liquidity Risk, the Enterprise Project Management Office, and IT in order to provide variance analysis of 2052a results and to develop new data quality and reconciliation standards.. In addition to salary and a generous employee benefits package, successful candidates are eligible to receive a discretionary bonus.. #HybridOther requirementsMizuho has in place a hybrid working program, with varying opportunities for remote work depending on the nature of the role, needs of your department, as well as local laws and regulatory obligations.
The Chief Financial Officer (CFO) at the fund level will oversee financial strategy, reporting, and operational performance across multiple restaurant brands within the private equity portfolio.. The ideal candidate will have deep experience in multi-unit restaurant finance, M&A, financial restructuring, and driving EBITDA growth in a private equity-backed environment.. Oversee debt compliance, covenant monitoring, and capital structure optimization.. Experience: 15+ years of progressive finance leadership experience, with at least 5 years in a private equity-backed multi-unit restaurant or retail environment.. Deep knowledge of financial modeling, valuation, capital markets, and M&A execution.
Lead the team to perform independent validations of selected FRM processes and controls, including those relating to regulatory and Basel requirements. Partner with other independent validation teams within., Model Risk Management as well as with Regulatory Reporting Quality Assurance (RRQA) to support a unified end-to-end validation program. 10+ years of experience from consulting, risk management, or internal audit covering processes and controls across risk stripes (e.g., Credit, Market, Liquidity, Capital and Data Risk). (Preferred) Knowledge and experience with data analytics and data visualization tools and systems (e.g., PowerBI, Alteryx, Dataiku, QlikView, Tableau); experience with writing or editing SQL, Python and/or other programming languages; advanced Excel knowledge. (Preferred) Knowledge of and experience in robotic process automation (RPA)
Job Description: The Director of Financial Planning and Analysis (FP&A) is responsible for leading the financial planning, forecasting, budgeting, and analysis functions to support the strategic goals of the organization.. This role involves developing and overseeing financial models, analyzing key performance indicators (KPIs), and providing actionable insights to senior leadership.. The Director of FP&A will lead a team of analysts, ensuring the quality and accuracy of financial data and analysis.. This role requires strong business partnering skills to support the organization's growth and financial objectives.
The Director of Treasury Operations is responsible for overseeing the organization's treasury operations, including cash management, financial risk mitigation, and banking relationships.. Manage and oversee payment processing agents with the payment integrity team. Review and approve lockbox reconciliations and support payment integrity team. Lead, mentor, and develop treasury team members including payment integrity team. As a Certified B Corp™, Capital Rx is executing its mission through the deployment of JUDI®, the company's cloud-native enterprise health platform, and a Single-Ledger Model™, which increases visibility and reduces variability in drug prices.
David is led by CEO Peter Rahal, the Cofounder and Former CEO of RXBAR ($600M exit to Kellogg in 2017).. The Strategic Finance Manager will play a key role in driving strategic financial decisions at David.. Further, you will contribute to corporate development initiatives, including capital raising, M&A activities, and investor relations.. Support M&A activities, including market research, financial modeling, valuation analysis, due diligence, and post-deal integration.. 3+ years in Investment Banking, Private Equity, or Strategic Finance.