Manage and oversee all aspects of real estate lending transactions, including reviewing, drafting, and negotiating loan agreements, leases, purchase and sale agreements, and other related documents. Information collected and processed as part of your Jobot candidate profile, and any job applications
Driving process efficiency by effectively utilizing internal banking systems and databases to resolve potential data discrepancies and support team workflow. Maintaining audit-ready documentation by reviewing and validating all legal and credit documents (mortgage notes, underwriting, leases) for co
The successful candidate will demonstrate outstanding leadership, a high-level of administrative skill, excellent communication skills, clinical and research productivity , an understanding of the complexity of uniting academic and community medicine, and a creative vision to develop a superior nep
Build strong relationships with internal stakeholders such as Cash Positioning team, Treasury Operations Support, Investment Operations, Accounting, Legal, Third-Party Risk Management, Treasury, Tax, Technology, Risk Management and Liquidity management to drive initiatives. Identify and assist in th
You are a good fit if you: - Have **at least 2 years of experience** working at top firms in investment banking or private equity with deal experience (academic experience does not count, must be on desk) Here are more details about the role: - The work is **fully asynchronous** and can be done arou
We are an equal opportunity employer and comply with all applicable federal, state, and local fair employment practices laws. Serve as the executive escalation point for client and internal RCM performance issues. We strictly prohibit and do not tolerate discrimination against employees, applicants,
Compiles information from around the company to create a routine cash forecasting process, understanding the impact of working capital policies, accounting methods, capital projections, and board authorizations. Evaluates the company's borrowing capacity and optimal use of debt to finance future gro
The ideal candidate will manage relationships with credit managers and institutional lenders, lead fundraising initiatives, and monitor capital market performance. A fintech company in New York seeks a Head of Capital Markets to drive borrowing and lending strategy. This role is critical in shaping
Responsible for processing and authorizing daily transactions (reserving of funds, funding with Treasury and drawdown's / rollovers / payments / fees). Syndications & Corporate Lending Operations. Ability to work in a fast-paced environment, meeting time sensitive deadlines and adapting to changing
A fast-growing financial technology company in New York is seeking an experienced Head of Capital Markets to lead and build a successful capital function. The role requires 10+ years in capital markets, exceptional communication skills, and the ability to thrive in a dynamic environment. This positi
Contribute to ad hoc projects, financial analyses and other Treasury activities, such as FX hedging, debt financing, share repurchase, rating agency presentations and capital management. Prior experience in financial services, finance or banking operations, project management, risk management or cap
This role involves conducting comprehensive credit analysis, reviewing contracts, cash flow models, borrower requests, and budgets to provide recommendations on internal ratings and borrower approvals. Track and follow up on pending items in internal portfolio management systems including covenant m
As an Associate within the Corporate and Investment Bank Treasury Capital Controllers team, you will serve as a strategic thinker and trusted advisor to Corporate and Investment Bank management and Corporate partners. The Commercial & Investment Bank Capital Controllers team focuses on reporting ris
This role will focus on strategy and architecture, shaping the future of our governance ecosystem and enabling seamless integration across enterprise platforms. Excellent communication and stakeholder management skills. Define and implement portfolio governance frameworks that enhance transparency,
Must be computer literate and possess general knowledge of Microsoft Office. Process all required annual income certifications as per HUD and LIHTC regulations at. DESCRIPTION OF DUTIES AND RESPONSIBILITIES:.
This critical role is responsible for managing all aspects of cash and credit card transaction processing, ensuring compliance with lender requirements, maintaining strong banking relationships, and overseeing the Treasury Analyst. Manager, Treasury - Finance/Treasury. Strong knowledge of bank recon
The ideal candidate will have 5-7 years of experience in loan account management and possess a U. This role requires strong relationship management, negotiation skills, and compliance with banking regulations. A financial institution in New York is seeking a Portfolio Manager to manage and monitor c
Ideal candidates have a Bachelor's in Finance or related fields and familiarity with CLO analytics. Responsibilities include performing credit analysis for leveraged loans and CLO portfolios, monitoring performance, and preparing analytical reports. A leading financial services company in Jersey Cit
Manage treasury systems, controls, and compliance while ensuring robust ACH and global controls. Oversee all banking and treasury operations for North America, ensuring efficient execution of payments, collections, and reporting. Drive continuous improvement in treasury controls and compliance, cham
A telecommunications infrastructure firm located in the United States is seeking an Accounting Manager to oversee financial operations and ensure compliance with accounting standards. The ideal candidate will have a Bachelor's degree in accounting or finance, along with 5 to 7 years of relevant work