Finance & Banking Jobs Hiring Now

Browse the latest Finance & Banking roles. Manage assets, analyze investments, and optimize financial strategies for top institutions.

Corporate AttorneyFeb 27
AgFirst Farm Credit Bank - Columbia, SC

Corporate Attorney (Hybrid - Columbia, SC) We are seeking an experienced Corporate Attorney with expertise in capital markets, commercial lending, and financial services to provide complex legal advice and support to bank management and staff including researching, drafting, and reviewing legal documents and opinions and providing guidance to ensure that business practices, policies, and dealings of the bank meet regulatory requirements to protect the organization from legal action.. Additionally, the Corporate Attorney will support related bank committees, including the Loan Committee, Special Asset Management Committee, Asset/Liability Management Committee, and Internal Control Over Financial Reporting Management Committee, and provide legal support across multiple business functions.. - Provide legal support to the CFO, Controller, and Treasury about regulatory compliance issues, including policies/procedures, internal controls, and disclosures.. - Licensed attorney with at least 5-10 years of regulatory/legal experience in capital markets (participation/ syndication loans), commercial lending, multi-lender transactions, commercial real estate, real property, special assets, foreclosure, bankruptcy, finance, treasury, and/or other banking transactions.. - Juris Doctor (JD) degree from an accredited law school and active bar membership in good standing.

Private Equity Analysta day ago
Regent - Beverly Hills, CA

Regent is a global private equity firm focused on acquiring businesses and realizing exponential growth through operational improvements and strategic capital deployment.. Additionally, candidates must have flexibility to travel on a regular basis with short notice.. For individuals assigned and/or hired to work in California, Regent, L.P. includes a reasonable estimate of the salary or hourly rate range for this role.. This accounts for the wide range of factors that are considered in making compensation decisions; including but not limited to business or organizational needs, skill sets, experience and training, licensure, and certifications.. A reasonable estimate of the current base salary range is $85,000 per year to $115,000 per year.

Vice President - Credit Underwriting And Portfolio Management - Tech, Media & Telecom (TMT)2 days ago
MUFG Bank, Ltd - San Francisco, CA

You will focus on underwriting and portfolio management for clients in the Technology, Media & Telecom (TMT) industry vertical for investment grade and non-investment grade public and privately owned corporate borrowers.. Review loan documentation for newly assigned accounts in advance of closing to make sure that time frame for funding notices is acceptable and that Borrower and transaction documents contain appropriate representations.. Minimum of 2 years' experience in analyzing/supporting investment banking products including asset-based lending (securitization, leasing), trade finance and understanding of structure risks inherent in such finance.. Knowledge of standard bank products including loans, letters of credit, derivatives, foreign exchange, securitization and leasing.. BA required; CFA or MBA preferred.

Experienced Investment Banking AnalystFeb 13
Paralign Capital Partners - Minneapolis, MN

Paralign Capital Partners is a merchant bank, combining best-in-class investment banking advisory services and capital management, with expertise in highly structured and complex mergers and acquisitions, capital markets, and ESOP transactions designed to integrate value creation, liquidity, income/capital gains/estate tax planning, shareholder legacy, and other considerations.. Paralign was formed as partnership between former clients and Paralign professionals who share a common vision for a better, more aligned advisory and investment fund model for middle market businesses, combining sell- and buy-side experience and expertise for a sum that is greater than its parts.. Conducting due diligence, modeling, and general process execution across a wide variety of transaction types (Employee Stock Ownership Plans (“ESOPs”), sellside M&A transactions, buyside M&A transactions, debt and equity capital market transactions, among others). 1-2 years’ experience in investment banking, leveraged lending, and/or private equity, with prior exposure to ESOPs and ESOP transactions being an advantage but not requirement. Successfully passed FINRA’s SIE, Series 63, and Series 79 exams

Venture Capital Manager (Hybrid)8 hours ago
CareFirst BlueCross BlueShield - Washington, DC

PURPOSE:As the corporate venture, development, and commercialization arm of CareFirst BlueCross BlueShield, Healthworx is building a portfolio of investments and strategic partnerships with forward-thinking organizations.. As part of this effort, the Venture Capital Manager will play a key role in sourcing and evaluating new investment opportunities, executing on investment theses, and supporting our portfolio companies.. ESSENTIAL FUNCTIONS:The Venture Capital Manager will take on a broad role on our team, including the following responsibilities:Seek out new investment opportunities.. Uncover what makes our future portfolio companies special and how we can help de-risk their path forward.. Experience: 7+ years of venture capital, management consulting, investment banking, product management, business development with a technology company, or equivalent experience.

Director of Treasury5 days ago
Meta Inc - Fremont, CA

Join Meta as our new Director of Treasury and lead the strategic direction of our global Treasury operations.. As a key member of our Finance organization, you will drive leadership in cash flow management, investments, financial risk mitigation, working capital, and Treasury infrastructure, ensuring the company's continued growth and success.. Oversee all aspects of global treasury operations such as cash management, liquidity forecasting, funding strategies and banking infrastructure. Implement best practices and innovative solutions to enhance treasury operations processes, working collaboratively with Finance business partners. Proficient in Microsoft Office, particularly Excel and PowerPoint, and Treasury Management System (FIS preferred)

Credit AssociateMar 04
Coda SearchStaffing - New York, NY

One of the largest asset management firms in the world is looking to hire a Credit Associate. An ideal background will be 3+ years of investment banking, buy side credit investing or private equity experience.. Underwrite investments and prepare investment committee materials – key member of the deal team focusing on due diligence and fundamental analysis including financial modeling and analysis and 3rd party diligence. 3+ years relevant work experience – investment banking, buy side private credit or private equity investing experience. Master in Finance or Accounting, CPA, MBA and/or CFA is a plus

Analyst, Portfolio Management, NAFeb 13
Vantage Data Centers - Ashburn, VA

Developing and operating across North America, EMEA and Asia Pacific, Vantage has evolved data center design in innovative ways to deliver dramatic gains in reliability, efficiency and sustainability in flexible environments that can scale as quickly as the market demands.. We evaluate supply, demand, pricing, power availability and other market factors to inform site acquisition, site development and construction when developing our market plans.. Collaborate across departments (Capital Markets, Construction, Sales, New Site Development) to gather inputs for financial modeling.. Perform analysis, build models, and manage processes related to new market development, site acquisition, and customer leasing opportunities.. 2–5 years of professional experience in corporate finance or related fields (investment banking, capital markets, FP&A, accounting, treasury, consulting) with extensive financial modeling expertise., required.

Managing Director of Corporate Finance4 days ago
Evolent - Honolulu, HI

We are seeking an experienced Corporate Finance professional to support Evolent's strategic finance function, which is comprised of capital markets, treasury, investor relations, and strategic projects.. In this role, you will be responsible for cash flow forecasting, balance sheet management and optimization, liquidity management, EVH's corporate model, and support of strategic projects and investments.. Support the SVP of Finance and CFO in maintaining key banker relationships.. Bachelor's degree in Finance, Accounting, Economics, or a related field; MBA or CFA designation strongly preferred.. Experience and understanding of Treasury operations management.

Director Strategic Finance And AnalyticsMar 04
Vaco - Irvine, CA

o Oversee testing and validation of data warehouse / Power BI reports / dashboards to ensure accuracy of historical data through monthly KPI audits. o Produce ad hoc reporting needs out of Power BI, and when required directly from the Snowflake-based data warehouse. A minimum of 3 years experience in corporate finance, investment banking, private equity, consulting and/or audit required. Advanced proficiency in Power BI, Snowflake MS Excel, MS Office ; in-depth financial modeling skill-set; familiarity with SQL is preferred. Strong knowledge in data warehousing concepts and services (Snowflake)

Accounting And Finance Consulting - Manager, Strategic Finance And FP & a, Advanced Decision Modeling (Location Flexible / Hybrid)a day ago
RSM - Boston, MA

We are the leading provider of professional services to the middle market globally, our purpose is to instill confidence in a world of change, empowering our clients and people to realize their full potential.. The ideal candidate has client facing experience from consulting, public accounting, private equity, venture capital or investment banking.. We support and inspire you to prioritize your wellbeing by delivering personalized, holistic programming for your physical, emotional, financial and community wellbeing.. RSM has a generous time off policy with at least 14 paid holidays, wellbeing days and associate and above access to self-managed time off.. If you are a recent U.S. college / university graduate possessing 1-2 years of progressive and relevant work experience in a same or similar role to the one for which you are applying, excluding internships, you may be eligible for hire as an experienced associate.

Portfolio Manager & Credit Analyst, Treasury4 days ago
Services LLC - New York, NY

Amazon seeks a Portfolio Manager & Credit Analyst to join Amazon’s Investments team, which oversees the active management of $60-70B of fixed income portfolios, portfolio risk management, and Amazon’s $20B commercial paper program.. The primary responsibilities of this role include idea generation, trade execution, contributing to asset allocation strategy, oversight of external managers, ensuring portfolio compliance, portfolio reporting and analysis, and ongoing process improvement.. - Work with banking partners and external investment managers to identify opportunities to increase risk adjusted returns while maintaining liquidity.. - Develop and enhance analytics to provide insights into the company’s fixed income portfolio performance.. - Enhance the framework to manage counterparty exposure and credit risk across portfolio holdings.

AVP / VP, Portfolio Management, Lender Finance2 days ago
Forbright Bank - Chevy Chase, MD

Forbright is committed to exceptional client service by providing seamless, innovative personal banking services to depositors and creative financing solutions to visionary middle market businesses and investors in healthcare, technology, financial services, real estate, and other industries.. JOB SUMMARY: The AVP/Vice President, Portfolio Management, Lender Finance, is responsible for managing credit risk for the Lender Finance portfolio at Forbright Bank. This position monitors loan performance, identifies potential issues, and minimizes the risk of loss for the Bank. The primary responsibility is to manage and oversee the portfolio management of assigned loans and investments originated by the Lender Finance team.. The Portfolio Managers works with the Lender Finance team to ensure the portfolio of loans and investments are being closely monitored and all portfolio management actions are being undertaken as required.. Work is primarily conducted in an office setting while certain positions may allow for remote work through the use of technology at management discretion.. Paid subscriptions to Veterans Compost, Imperfect Foods, and more!

Treasury Manager12 hours ago
American Bureau of Shipping - Houston, TX

The Treasury Manager is an integral component of the finance organization and will support the ownership of ABS’s numerous corporate investment portfolios and pension plans.. The Treasury Manager will apply a sophisticated thought process to identify and assess risks across the portfolios and promote the organization’s growth as an astute institutional investor capable of achieving its investment objectives in a dynamic global environment.. The Treasury Manager will also work closely with the Vice President and Treasurer, Accounting, Tax and Financial Service Group (FSG) in areas of finance such as liquidity management, financial risk management, cash flow forecasting, repatriation of cash, trade finance and other projects aimed at developing the sophistication of the Treasury Group and adding value to the ABS organization.. What You Will Need:Education and Experience Bachelor’s degree in Business, Finance, Accounting, or another related field; MBA is a plus.. At least five of relevant investment management, treasury, corporate finance, financial services, or banking experience.

Portfolio Management Analyst / Associatea day ago
Starwood Capital Group - Greenwich, CT

Vice President Fund Accountant - Private EquityFeb 13
Apex Group Ltd - Burlingame, CA

The Apex Group was established in Bermuda in 2003 and is now one of the world’s largest fund administration and middle office solutions providers.. Minimum 3-6 years of direct Private Equity experience (Hedge Funds do not count as relevant experience);. Experience in fund accounting with a focus on private equity experience;. Fund accounting and financial reporting - Offering exceptional technical accounting and reporting capabilities tailored to the specific needs of structures and clients;. Administration of Private Equity structures - Delivering a responsive, client focused administration service.

Regulatory Reporting SpecialistMar 01
Associate Staffing - Fort Mill, SC

As the Senior Analyst of Regulatory Reporting within the Treasury team, you will be focused on preparing and submitting Net Capital and Customer Segmentation Requirements (15c3-3) reports related to our Broker Dealer business.. You will work closely with Treasury, Operations, Legal, IT, and Controller departments in the preparation, validation, and submission of these reports.. 3+ years’ experience in in SEC broker dealer regulatory reporting. Familiarity with brokerage operations and accounting. Advanced degree or relevant certifications (e.g., Masters degree, CTP, CFA) preferred

Treasury Manager2 hours ago
Big4Advisor - Houston, TX

The Treasury Manager will oversee cash flow forecasting, debt compliance, and liquidity management within a centralized structure for a multi-location business.. The Treasury Manager will develop and implement strategies to optimize cash management, manage banking relationships, ensure regulatory compliance, and support financial risk management.. Implement best practices in a shared services environment to enhance efficiency and accuracy in treasury operations.. MBA or professional certifications (CTP, CFA, CPA) preferred.. Knowledge of treasury management systems (TMS) and ERP financial modules.

Director of Finance5 days ago
EHS Support - Pittsburgh, PA

EHS Support is seeking a Director of Finance to support our internal operations team and lead our finance team.. Oversee accounts payable, accounts receivable, cash disbursements, and bank reconciliation functions (foreign and domestic).. Microsoft Office Suite, specifically MS Excel, and project-based ERP systems.. Deltek Vantagepoint experience required.. Proficiency in financial analysis and reporting, financial modeling and planning, and budgeting and forecasting.

Manager, Capital Markets2 hours ago
Cyrus One - Dallas, TX

The Manager will be responsible for providing analytical support for the Company’s corporate finance, strategic financing initiatives, and capital markets activities, including underwriting and preparation of financing packages, debt covenant compliance and reporting, budgeting and forecasting, business intelligence, and investor relations activities.. Work with senior members of the Capital Markets team to ensure compliance with lender and/or servicer requirements and debt covenants, including creation of all necessary reporting.. Build and maintain relationships with key internal and external partners, including financial institutions, sponsors, loan servicers, legal counsel, and others.. Implement technology solutions and processes to streamline Capital Markets activitiesPrepare and execute hedging strategies ranging from FX and interest rate risk management and monthly settlements.. Investment banking, debt capital markets, corporate capital markets, private equity, finance, and/or accounting experience preferred.