Job Title Leveraged Finance Risk. Support the review and credit approval of leveraged finance transactions including LBOs, mergers and acquisitions (M&A) financings, hold commitments and other requests, ensuring that exposures are consistent with the Bank's risk appetite.. Strong credit risk analysis skills (leveraged finance experience is a plus) as well as knowledge of financial modeling/forecasting and valuation methodologies.. Knowledge of investment and commercial banking products such as RCF, Term Loans, Bridge Financings, Derivatives (swaps, Foreign Exchange (FX), etc. Understanding of leveraged finance markets, loan documentation and regulatory standards
We provide innovative financialsolutions through our Wealth Management, Capital Markets, Futures andAdvanced Clearing & Prime Services divisions. Wedbush Securities is expanding its Investment Banking platform andseeking a Managing Director with deep Industrials sector experienceand active deal flow to lead the charge in one of thehighest-opportunity verticals in the market. This is youropportunity to build a multi-million-dollar practice under your name,backed by the execution, compliance, and capital markets support of anational investment bank. Deep relationships with founders, C-suites, financial sponsors,and corporate development leaders.. Colleagues may be eligiblefor additional, discretionary incentive compensation based on thecolleague's and the firm's performance.
Credit Risk Management Director.. The Director, Credit Risk Management - Senior Vice President is responsible for risk analysis and independent oversight of credit quality of assigned portfolios. Director level credit risk professional with diversified banking experience, advanced credit analysis and risk management skills, and in-depth knowledge of underwriting and portfolio management practices, policies, and procedures. Experience in corporate, commercial and specialty lending, including middle market, mid-corporate and specialty portfolios, including ABL, Equipment Finance and Dealer Commercial Services, across diverse industries. Masters degree - Accounting, Business, Statistics, Risk Management, Information Systems, Finance, Economics or equivalent field.
A Strategic Asset Manager who will take ownership of VIP client relationships with executive oversight.. This role requires a highly analytical, strategic thinker with strong financial acumen and a background in top-tier consulting, venture capital, private equity, or investment banking (minimum two years at a reputable firm).. Experience: Minimum two years of experience in consulting, venture capital, private equity, or investment banking at a reputable firm.. Tech & Systems Savvy: Proficiency in Microsoft Excel and Microsoft PowerPoint; familiarity with Tableau or other data visualization tools is a plus.. Fully remote - work from anywhere
The Corporate Development Analyst plays a pivotal role in identifying, evaluating, and executing strategic initiatives such as mergers and acquisitions, partnerships, investments, divestitures, and other corporate transaction opportunities.. Supporting cross-functional integration activities across departments such as finance, HR, IT, operations, etc., and ensure completion of post-closing activities identified during due diligence. 1-3 years of relevant experience in investment banking, private equity, corporate development, venture capital, or transaction advisory services; other M&A / transaction-related experience will be considered. Strong financial modeling and valuation skills (DCF, LBO, multiple analysis, precedent transactions, etc.). When you join our HID team, you'll also be part of the ASSA ABLOY Group, the global leader in access solutions.
Job Overview: Are you a seasoned Advisory Leader with a knack for helping clients with Performance Measurement & Management, FP&A and Finance Transformation initiatives?. Articulate and build a clear go-to-market approach around FP&A Advisory services focused on meeting the needs of our middle market client base. Have significant experience working in a fast-paced environment, and working with Private Equity backed organizations and other leading middle market companies. 10+ of experience in FP&A, corporate finance, financial consulting (leading Accounting or Advisory firms), private equity, or investment banking.. Strong proficiency in Excel and financial modeling; experience with Power BI, Tableau, or similar tools is a plus.
Capital Markets is responsible for overseeing the strategy and earnings of the investment portfolio and related float income forecasting, monitoring financial markets and global economic key indicators, interest rates, the debt financing portfolio, revolving credit facility, financial debt covenant compliance, calculation of financial ratios, debt service forecasting, derivatives and hedging program management, financial modeling, and financial analysis.. This position reports to the Vice President, Global Treasurer.. Manage interest rate risk via derivative hedging program for the debt portfolio. Minimum of 8 years of experience in Corporate Treasury, Corporate Finance and/or FP&A, performing investment portfolio management, interest rate analysis, debt portfolio and revolving credit facility management and amortization, financial debt covenant compliance, liquidity management, cash flow forecasting, financial analysis, capital markets, ad-hoc financial/management reporting. Treasury Management System (TMS) experience is a plus
Join to apply for the Corporate Venture Capital Associate role at Ajinomoto Health & Nutrition North America, Inc. We are looking for an Associate to join Ajinomoto Group Ventures, the corporate venture capital arm of the Ajinomoto Group. As an Associate, you will play a critical role in all aspects of the investment process including sourcing, diligence, execution, and portfolio management. 4-7 years of work experience in venture capital, management consulting, or private equity.. Hunger and tenacity; relentlessness in working through obstacles to achieve extraordinary results, habit of taking initiative to make things happen
BMO Sponsor Finance originates, structures, underwrites and manages middle-market private equity sponsor transactions including leveraged buyouts, dividend recapitalizations, add-on acquisitions and growth capital. Key focus of position will be to further escalate BMO's One Client approach by leveraging BMO’s world-class suite of banking products and solutions to meet clients needs and in turn, drive significant revenue growth; in particular, around treasury management, interest rate hedging, FX, etc. Working with BMO SF sector team leaders and relationship managers, proactively and independently take the lead on identifying opportunities and delivering/growing our treasury management and other banking product sales/solutions to existing/prospective SF client base to ensure optimal client cross sell coverage. Strong banking product knowledge required for Commercial Banking, Treasury Management, Capital Markets, and Wealth Management. Key Performance Indicators include revenue growth, net new client acquisition, product sales, and customer service (NPS) metrics.
A global investment bank is seeking an experienced and strategic leader to serve as the Head of Regulatory Reporting.. This individual will oversee all aspects of U.S. broker-dealer regulatory reporting and drive process enhancements, governance, and compliance with SEC and FINRA requirements.. 10+ years of progressive experience in broker-dealer regulatory reporting within investment banking or public accounting.. Strong Excel and data analysis skills; experience with regulatory reporting systems (e.g., WolfPAC, RegInsight, or in-house tools) a plus.. SaaS Controller, Growth Track to VP of Finance
BBOT is a clinical-stage biopharmaceutical company advancing a next-generation pipeline of novel small molecule therapeutics targeting RAS and PI3K malignancies. You are an accomplished investor relations professional with a passion for biotechnology and oncology innovation. 8+ years of experience in investor relations, equity research, investment banking, or corporate finance, ideally within biotech or pharmaceuticals. High proficiency in financial modeling, valuation, and capital markets. Marketing, Public Relations, and Writing/Editing
This individual will be responsible for supporting Pew’s liquidity and bank account management, monitoring banking transactions, ensuring compliance with internal controls, and enhancing the organization’s cash management strategies.. While the role includes exposure to investment reporting and analysis, such activities will be performed in a support capacity, as the lead responsibilities in this area reside with the other Treasury analyst.. This position reports to the Director, Treasury Services, and will be based in either Pew's Washington, DC or Philadelphia office, and is eligible for hybrid work.. Provide backup support to the investment analyst as needed, including preparation of reports, data aggregation, and document review.. Industries Non-profit Organizations
The Director of Treasury will be responsible for assisting the CFO with the organization’s cash management and financial risk management functions.. This role will manage all aspects of treasury management and operations, including tracking and optimizing cash flow, liquidity planning, identifying and mitigating financial risk, and ensuring compliance with regulatory requirements.. Minimum of 8 years finance, treasury operations and/or related experience or an equivalent combination of relevant education and/or experience. Enhances treasury operations and drives innovation in cash management and financial analysis through multiple approaches, especially leveraging technology.. Delivers treasury management reporting inclusive of cash flow analysis, market trends and KPIs that are aligned with FPI’s strategic goals.
Drawing on your expertise in areas such as project finance, M&A, business valuation, and corporate transactions, you’ll serve as a trusted advisor to senior client stakeholders, helping them navigate complex financial decisions, transactions, and transformation initiatives.. Serve as a senior advisor to CFOs and other C-suite leaders, providing insights on project finance, M&A, valuation, and corporate transactions.. Advanced proficiency in Microsoft Excel and PowerPoint; experience with FP&A tools (e.g., Power BI, Anaplan, Tableau) is a plus.. Investment Banking Director– Focus on Low Carbon Molecules Director of Finance, Financial Planning & Analysis PEPI: Senior Director, CFO Services - Digital Finance (OPEN TO ALL US LOCATIONS) Houston, TX $175,000.00-$250,000.00 2 weeks ago. Director Budget, Financial Planning & Decision Support Webber - Director of Financial Planning & Analysis - Corporate Director of Finance- Physician Organization (onsite Medical Center) Senior Director, Global Controls, Process & Finance Transformation Director of Finance - Houston Methodist Baytown Hospital Houston, TX $200,000.00-$225,000.00 2 weeks ago
Posted: 03/06/2025 Industry: Accounting & Finance Job Number: AFMG-BAM-TM Pay Rate: 150,000 Remote Friendly: Hybrid Experience: 5 years or greater.. Candidates are expected to be well versed in tax compliance for hedge funds, private equity, and venture capital. The role includes the preparation and review of state and local tax filings. Experience with tax compliance for hedge funds, private equity, and venture capital entities, preferred. Specialties Public Accounting (Audit, Tax, Advisory, & Support), Corporate Tax, Internal Audit, Financial Analysis, AR & AP, Cost Accounting, & IT Audit.
REPORTS TO: VP, Sr. Commercial Credit Officer (SCCO). Ensure and manage the portfolio for accurate loan documentation, exception issues and loan processing in accordance with NCUA regulations and standard operating procedures and Allegacy Lending policy.. Work with Senior Management, SVP of Business Services, and Loan Officers in, client management, integrated relationship management, special asset management and credit underwriting.. Previous experience in a senior credit officer role or similar capacity is highly desirable.. Vice President Accounting and Financial Reporting Winston-Salem, NC $70,000.00-$70,000.00 1 week ago
The Vice President, Finance is a strategic and hands-on leader responsible for developing, implementing, and overseeing the Company’s accounting and financial processes, procedures, and general ledger operations.. The VP, Finance will play a pivotal role in leading the audit process, maintaining strong internal controls, ensuring compliance with GAAP, and driving the efficiency of monthly, quarterly, and year-end close processes.. Proven track record as a Corporate Controller, Division Controller, or equivalent role in a high-performing organization.. Get notified about new Vice President Finance jobs in Atlanta, GA.. Vice President, Finance and Accounting at High Growth Health Tech VP Marketing - (PE-Backed) - Serving Banks and Financial Institutions VP, Financial Systems - Cloud ERP Leader VP, Financial Systems - Cloud ERP Leader Associate Vice President, Revenue Process and Technology Fairburn, GA $140,000.00-$150,000.00 2 weeks ago
You will collaborate closely with National’s Credit Capital Markets and Debt Capital Markets teams to identify and deliver financing solutions to our clients.. Your Job As an Investment Banking Vice President, the individual will actively participate in a wide variety of transactions headed by senior members of the Power, Utilities & Infrastructure (“PU&I”) Investment Banking team and will be expected to have a strong understanding of the industry sector as part of their responsibilities.. Your Team National is a full-service investment bank with a strong presence in the Power, Utilities & Infrastructure sector.. Undergraduate or graduate degree in finance, accounting, economics or a field related to the sector of activity;. FINRA Series 7, 63, 79 preferred; MBA, CPA, or CFA considered assets;
Spend time interacting with other FNB business partners which may include: Private Banking, Treasury Management, Wealth/Brokerage, and Business Banking. Participate and attend FNB related events/trainings that are scheduled for all Summer Interns. It is the policy of F.N.B. Corporation (FNB) and its affiliates not to discriminate against any employee or applicant for employment because of age, race, color, religion, sex, national origin, disability, veteran status or any other category protected by law.. It is also the policy of FNB and its affiliates to employ and advance in employment all persons regardless of their status as individuals with disabilities or veterans, and to base all employment decisions only on valid job requirements.. FNB provides all applicants and employees a discrimination and harassment free workplace.
Conduct sales calls on current and potential clients in partnership with commercial lending relationship managers and branch managers, as well as generating other leads independently.. Install and troubleshoot remote deposit capture scanners, ACH services, online wires and services along with future Treasury products as needed.. Support Treasury Management area and Commercial Lending in other duties as requested.. Minimum of five (5) years banking experience with at least two (2) years of Treasury Management experience or Retail Banking experience with proven outside sales experience.. Treasury Management (required)