Financial Controller - Engineering/Technology Services - High Growth Transformation - Private Equity, 78957
Finance leader job in Houston, TX
Financial Controller - Engineering/Technology Services - High Growth Transformation - Private Equity
Our client is an innovative and well-established provider of tech-enabled engineering services supporting the energy, environmental and industrial end markets with multi-location field-based services supporting a national customer base. The company is backed by a leading private equity sponsor focused on professionalizing operations and driving significant revenue growth through acquisitive and organic means.
The mandate for the new Controller is to execute on the transformation of the finance function to support the new business operating structure and to integrate diverse units brought together through acquisition. You will have full responsibility for financial reporting as a strategic partner to the CFO and will be responsible for managing financial reporting and metrics across a multi-location, distributed business model. As a strong people manager and “in the trenches” leader you will be called upon to implement best practices in the accounting function and to recruit and augment a high-performance team in an aggressively forward-moving culture. The ideal candidate will have a strong base of experience leading multi-unit, multi-location operations with demonstrated success building and developing the finance and accounting functions and teams in a growing and transforming, fast-paced entrepreneurial environment. It will be an asset if this person has a CPA and has spent time in public accounting before moving into industry roles.
This is a challenging and rewarding growth opportunity working with a leading private equity investor looking to take an already successful enterprise and grow it to the next level. A competitive base salary and bonus incentive is offered.
Finance Manager (CIMSA AMERICAS)
Finance leader job in Houston, TX
We are looking for a Finance Manager to join our Çimsa Americas Team!
is located in Houston, Texas,
As Finance Manager at Çimsa Americas you will be responsible for:
Organize the company's financial planning and operational processes (current year and long-range planning) across the Americas and all business units through cross-functional coordination, key driver analysis, KPI management, and collaborative support
Lead and optimize the finance function and all operational teams
Develop and manage strong relationships with internal teams, customers, tax authorities, banks, and vendors
Establish and maintain a documented system of accounting policies and procedures
Create an orderly chart of accounts and a robust system of controls over accounting transactions
Manage the annual audit process to ensure accurate and comprehensive results, meeting all deadlines and requirements of lenders, owners, and other stakeholders, while maintaining positive working relationships
Develop and oversee the treasury strategy
Manage cash flow effectively
Ensure timely, accurate, and complete financial reporting for senior management and shareholders; lead month-end and year-end closing processes and coordinate consolidation
Ensure compliance with all reporting requirements and tax filings for local, state, and central public institutions and banks
Prepare the 1-year budget, 3-year budget, and expected financial forecasts
Ensure the finance area is managed in a safe, organized manner in alignment with budgetary guidelines
Proactively assign tasks and teams for additional responsibilities and projects
Monitor and manage credit risk
Tracking Related Party transactions and Transfer Pricing Reports
Digitalization Projects and SAP implementation
This is the opportunity for you if you have these skills and requirements:
University degree in related fields, (Faculty of Economics or similar) preferably a master's degree
7-10 years' experience in accounting/finance department, preferably in an international group of companies
Advanced knowledge of English and Turkish
Advanced use of MS Office programs
Ability to use Microsoft Office and SAP programs effectively
Having good judgment, analytical thinking, responsible
Team management skills
Big 4 experience is plus
ÇİMSA considers
equality, diversity and inclusiveness
in business life as a part of the culture of doing business, and implements the policies it publishes and practices related to this. To contribute to creating a more socially inclusive world by providing fairer and equal working environments for all; It aims to develop creativity by providing different perspectives by employees using all their talents and differences that make them special, at work, to attract people from all segments of the society who do their jobs in the best way and to retain existing talents.
ÇİMSA observes the principle of
"Equality at Work"
in all its processes. In this context, it aims to provide gender equality by providing equal opportunities to its female and male employees, to fight against stereotypes and prejudices of sexism, and to prevent all kinds of discrimination.
Senior Financial Analyst
Finance leader job in Houston, TX
Title: Senior Financial Analyst of Financial Planning & Analysis (FP&A)
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About Us:
We are currently working with a dynamic e-commerce retail giant, that is on the brink of an exhilarating expansion journey. As they gear up to double the number of retail stores in new states across the U.S. and plan strategic acquisitions of other sport-related retail stores, we are seeking a talented and driven Senior Analyst of FP&A to join our finance team.
Why Join Us:
Thriving Expansion: Be part of a team driving the ambitious goal of doubling their market share, and expanding their footprint across new states.
Fast-Paced, Fun Environment: Immerse yourself in a dynamic work culture with a 40-50 hour work week, where every day brings new challenges and opportunities.
Education:
Bachelor's Degree in Accounting, Finance, Business Administration, or equivalent required.
Work Experience:
Job Description:
Minimum of 2+ years of experience, including planning, forecasting, analyzing, reporting, and business partnering.
PROFICIENT IN POWER BI
Previous FP&A or Corporate Finance experience required.
Retail/e-commerce experience is a plus.
Skills:
Partner effectively with internal teams and external stakeholders.
Strategic thinking coupled with the ability to deliver tactical analysis.
Proven track record of delivering high-impact results.
Excellent written, verbal, listening, and presentation skills.
Analytical and process-improvement-oriented mindset.
Advanced Excel skills.
Responsibilities:
Analyze and support annual planning and monthly forecasting processes.
Provide financial planning support for internal business partners.
Deliver weekly, monthly, and quarterly executive reporting.
Interact regularly with senior management to inform and refine business strategies.
Consolidate and analyze departmental/functional plans and forecasts.
Establish clear ownership, timelines, and deliverables.
Leverage internal and external networks to maximize business goals.
Drive accurate forecasting and long-term vision.
Identify and drive process improvements.
Actively participate in new FP&A initiatives.
Compensation:
Up to $120,000 plus bonus.
Senior Oracle EBS Finance & Projects Analyst
Finance leader job in Houston, TX
Job Title:- Senior Oracle EBS Finance & Projects Analyst
Job Type:- Long Term Contract
Willing to travel up to 10%
for support needed to assist with EBS upgrade from Release 12.2.10 to 12.2.15
Interview - 45 minute virtual or in person interview
Goal is to have them onboarded by EOY and have them start 3rd week in January
Responsibilities:
We are currently seeking a Senior Analyst for Oracle eBusiness Systems, release R12.2.10. This person will work effectively under minimal supervision and provide Technical support for developing and supporting customizations and extensions covering modules in Finance or Oracle Projects. This position will support our business users, participate in all relevant changes management activities, and overall service delivery and customer satisfaction. This will require interaction with core business users and the need to work as a team member of a large Oracle support team.
Responsibilities include, but are not limited to:
Provides technical development and support for Oracle eBusiness Systems Modules.
Collaborates with customers to ascertain system specifications and business/technical requirements to create spec documents that meet their needs.
Responsible for completion of all required Change Management tasks and relevant SOX control requirements (if applicable).
Utilize industry accepted project management principles, methodologies, tools, and best practices throughout the project life cycle.
Acquire and utilizes business knowledge by taking advantage of available resources (internet, books, periodicals, classes/workshops, conferences, etc.) to develop and deliver business expertise solutions.
Tracking deliverable and provide reporting to management as needed.
The successful candidate will have the following qualifications:
Bachelor of Science degree from a 4-year accredited university, or 10 years of related industry or technical experience is required.
At least 5 years of experience working with Oracle eBusiness Modules. Must have experience with Oracle Projects (Project Accounting, Project Billing and Project Cost Management) and its integrations within EBS - Inventory, Enterprise Asset Management, Oracle Time and Labor, Fixed Assets and Accounts Payable modules.
5+ years of experience with SQL, PL/SQL & BI Publisher reporting and Oracle Workflow Builder.
5+ years of experience with the backend table structures for Oracle and eBusiness system module is required.
Experience in Oracle Database 19C, or a higher version, is required.
3+ years of programming experience in Oracle Apex is desirable.
Experience on personalizations and extensions in Oracle Applications Framework is preferred.
Experience working in a multi-developer, team environment is preferred.
Top daily priorities/responsibilities:
Remediating and validating EBS application extensions and customizations in the areas of Finance or Projects.
Working with Oracle Support to find a solution that is feasible and acceptable to implement.
Collaborating with IT Teams and business department personnel to complete EBS upgrade from Release 12.2.10 to 12.2.15
Dexian is a leading provider of staffing, IT, and workforce solutions with over 12,000 employees and 70 locations worldwide. As one of the largest IT staffing companies and the 2nd largest minority-owned staffing company in the U.S., Dexian was formed in 2023 through the merger of DISYS and Signature Consultants. Combining the best elements of its core companies, Dexian's platform connects talent, technology, and organizations to produce game-changing results that help everyone achieve their ambitions and goals.
Dexian's brands include Dexian DISYS, Dexian Signature Consultants, Dexian Government Solutions, Dexian Talent Development and Dexian IT Solutions. Visit ******************* to learn more.
Dexian is an Equal Opportunity Employer that recruits and hires qualified candidates without regard to race, religion, sex, sexual orientation, gender identity, age, national origin, ancestry, citizenship, disability, or veteran status.
Dexian | Unlock trajectory changing opportunities
Unlock business potential with Dexian's comprehensive solutions. Discover staffing, talent development, and valuable resources. Explore now!
Senior Financial Analyst
Finance leader job in Houston, TX
The Senior Financial Analyst will play a key role in supporting the financial planning, reporting, and analysis needs of our construction and real estate development operations. This role partners closely with project managers, development teams, accounting, and executive leadership to ensure accurate budgeting, forecasting, and performance reporting across multiple active projects. The ideal candidate brings strong analytical skills, a solid understanding of construction financials, and experience supporting full project lifecycles.
Key Responsibilities
Project Financial Management
Develop, maintain, and refine detailed project budgets, cost forecasts, and cash flow projections for construction and development projects.
Perform budget vs. actual cost analysis, highlight variances, and collaborate with project teams to identify cost drivers, risks, and opportunities.
Support monthly Work-in-Progress (WIP) reporting, including revenue recognition, percentage-of-completion calculations, and margin analysis.
Assist in preparing and updating pro forma financial models for development projects, including scenario analysis, return metrics, and feasibility assessments.
Track and analyze project invoices, commitments, and cost-to-complete reports to support accurate forecasting.
Financial Planning & Analysis
Prepare monthly, quarterly, and annual financial reports for management, lenders, and internal stakeholders.
Support companywide forecasting, long-term planning, and budgeting cycles.
Develop dashboards, KPIs, and performance analysis tools to support operational and strategic decision-making.
Conduct ad hoc financial modeling and analysis for acquisitions, dispositions, capital planning, and new development opportunities.
Cross-Functional Collaboration
Partner with accounting, project management, and development teams to ensure consistent project financial data and reporting accuracy.
Present financial insights, trends, and recommendations to senior leadership.
Qualifications & Requirements
Bachelor's degree in Accounting, Finance, Business, Economics, or related field required.
2-6 years of experience as a Financial Analyst, preferably within the construction, real estate development, or general contracting industry.
Strong understanding of construction cost structures, project financials, and development lifecycles.
Hands-on experience with project budget creation and management, forecasting and cash flow analysis, Budget vs. actual variance analysis
WIP reporting and revenue recognition, Pro forma modeling for development projects
Advanced Excel skills (pivot tables, advanced formulas, financial modeling).
Strong analytical, organizational, and communication skills.
Ability to manage multiple priorities and meet deadlines in a fast-paced environment.
Salesforce Financial Services Cloud Director, Enterprise
Finance leader job in Houston, TX
Who You'll Work With In our Salesforce business, we help our clients bring the most impactful customer experiences to life and we do that in a way that makes our clients the hero of their transformation story. We are passionate about and dedicated to building a diverse and inclusive team, recognizing that diverse team members who are celebrated for bringing their authentic selves to their work build solutions that reach more diverse populations in innovative and impactful ways. Our team is comprised of customer strategy experts, Salesforce-certified experts across all Salesforce capabilities, industry experts, organizational and cultural change consultants, and project delivery leaders. As the 3rd largest Salesforce partner globally and in North America, we are committed to growing and developing our Salesforce talent, offering continued growth opportunities, and exposing our people to meaningful work that aligns to their personal and professional goals.
Job Title: Director, Financial Services Cloud - Salesforce
As a Director in our Global Salesforce Financial Services Cloud capability practice, you'll lead and drive sales pursuits, expand our Financial Services Cloud and Financial Services footprint through exceptional client delivery, and develop and cultivate client relationships within the Financial Services industry, and its sub verticals.
This is an exciting opportunity for a results-driven leader with client management, sales, and client delivery experience working with financial services customers.
This role requires deep industry expertise and the ability to interface with senior level client executives. With this deep expertise comes the ability to help clients think strategically about their investments in the Salesforce platform and the required services to implement.
The ideal candidate has experience leading and driving complex Financial Services Cloud pursuits and has a passion for both sales and delivery. In this role, you will focus on supporting sales pursuits, providing subject matter leadership, client management, client delivery, and leading the Salesforce account strategy in partnership with regional market leadership for an account and/or set of accounts.
Responsibilities:
Support sales pursuits; serve as a global leader that encourages Pursuit Excellence throughout the deal cycle.
* Supports sales pursuits and sales process in partnership with local market leadership and global industry and capability leaders
* Proactively engages capability leadership; partners with go to market leaders, regional leaders to help solution the engagement approach and scope for our clients
* Determines sales strategy inclusive of win themes in partnership with regional market sales leadership
* Manage an overall team utilization target of 76%
* Supports development of proposal and statement of work
* Drives decision making on deal structure in partnership with sales solution leads
* Ensures deal due diligence (staffing, financials, legal, risk management, contract approval gates)
* Work closely with Slalom's Talent Acquisition team to attract the best Salesforce talent in the market
* Identifies pursuit close plans, identifies blockers and risks, and escalates any issues impacting pursuit progress
* Actively participates in driving pursuits to closure and supports contracting process in partnership with regional and local sales leadership
Business development:
Focuses on increasing our Financial Services Cloud footprint across Banking, Insurance and Wealth and Asset Management accounts
* Responsible for $15-20M+ annually within the Financial Services Cloud Capability
* Proactively thinks beyond the project and product to continue to expand our engagements with our clients
* Serves as a bridge between pursuit and delivery teams; focuses on identifying opportunities to expand our footprint on accounts to bring more to our customers in partnership with Salesforce and other capabilities
* Leverages relationships across the ecosystem to nurture leads, opportunities, and existing partnerships
Client Engagement Management:
Builds and cultivates relationships with senior clients (project sponsor, director level and above)
* Shares industry and product thought leadership in partnership with Slalom Industry and Salesforce Industry Capability leadership
* Identifies opportunities for Slalom to continue to help our clients achieve business objectives
* Partners with in-market Accountable Executives and Client Partners to ensure customer success and satisfaction, using Slalom's "Customer Love" survey criteria
Delivery & Delivery Excellence:
Exceptional client delivery; responsible for ≥60% individual utilization delivering industry specific solutions and offerings
* Engages as part of client project teams ranging from 2-15+ consultants, and brings industry perspective and expertise to the overall project engagement
* Keeps a pulse on industry trends through client engagement and delivery and provides feedback and insights to industry leadership to inform our solution program
* Provides oversight and project delivery governance best practices, and oversees project delivery quality
Industry & Platform Expertise:
* 10+ years' experience in the Financial Services industry
* 10+ years' consulting experience
* 3+ years' leading Financial Services Cloud programs
* Maintains awareness of industry best practices (working with Industry leaders)
* Broad understanding of Salesforce and the Financial Services ecosystem and offerings (working with Capability leaders)
Qualifications:
* Minimum 3-5 years of account/delivery management experience
* Experience working with banking customers and experience in a large consulting environment
* 3-5 years' experience selling and delivering within the Salesforce Financial Services ecosystem
* Previous sales and consulting experience, as well as experience working in an account leadership and/or customer success role
* Prior experience meeting and exceeding sales targets of a similar size
* Skilled at leading teams through complex technology solution sales
* Passionate about financial services, and technology
* Proven track record in selling through exceptional client delivery
* Experienced in building relationships with customers (director level and above)
* Able to partner with clients to understand their organizational needs and recommend solutions that add value to their business
* Strong customer service and interpersonal skills
* Budget and project management experience
* Excellent verbal and written communication skills
* Able to travel up to 30%
About Us
Slalom is a fiercely human business and technology consulting company that leads with outcomes to bring more value, in all ways, always. From strategy through delivery, our agile teams across 52 offices in 12 countries collaborate with clients to bring powerful customer experiences, innovative ways of working, and new products and services to life. We are trusted by leaders across the Global 1000, many successful enterprise and mid-market companies, and 500+ public sector organizations to improve operations, drive growth, and create value. At Slalom, we believe that together, we can move faster, dream bigger, and build better tomorrows for all.
Compensation and Benefits
Slalom prides itself on helping team members thrive in their work and life. As a result, Slalom is proud to invest in benefits that include meaningful time off and paid holidays, parental leave, 401(k) with a match, a range of choices for highly subsidized health, dental, & vision coverage, adoption and fertility assistance, and short/long-term disability. We also offer yearly $350 reimbursement account for any well-being-related expenses, as well as discounted home, auto, and pet insurance.
Slalom is committed to fair and equitable compensation practices. For this role, we are hiring at the following levels and targeted base pay salary ranges:
East Bay, San Francisco, Silicon Valley:
Director: $192,000-$307,000
San Diego, Los Angeles, Orange County, Seattle, Boston, Houston, New Jersey, New York City, Washington DC, Westchester:
Director: $175,000-$281,000
All other locations:
Director: $161,000-$258,000
In addition, individuals may be eligible for an annual discretionary bonus. Actual compensation will depend upon an individual's skills, experience, qualifications, location, and other relevant factors. The salary pay range is subject to change and may be modified at any time.
We will accept applicants until January 30, 2026, or until the position is filled.
We are committed to pay transparency and compliance with applicable laws. If you have questions or concerns about the pay range or other compensation information in this posting, please contact us at: ********************.
EEO and Accommodations
Slalom is an equal opportunity employer and is committed to attracting, developing and retaining highly qualified talent who empower our innovative teams through unique perspectives and experiences. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability status, protected veterans' status, or any other characteristic protected by federal, state, or local laws. Slalom will also consider qualified applications with criminal histories, consistent with legal requirements. Slalom welcomes and encourages applications from individuals with disabilities. Reasonable accommodations are available for candidates during all aspects of the selection process. Please advise the talent acquisition team or contact ****************************** if you require accommodations during the interview process.
Easy ApplyManager Pharmacy Financial Operations - Health Plan (Days)
Finance leader job in Houston, TX
We're hunting for a Manager of Pharmacy Financial Operations, someone who's ready to be part of a growing team with amazing opportunities. In this position you will provide leadership for the pharmacy by coordinating and managing financial operations of the Pharmacy. To assist in maintaining a framework in which pharmacy (across the IDS) financial and statistical performance can be continually measured against quantifiable targets established by leadership.
Think you've got what it takes?
Job Duties & Responsibilities
Leads the planning and preparation of annual budget for all IDS pharmacy areas; responsible for the analysis of historical revenue and expense trends and the effects of future programmatic and non-programmatic changes.
Leads and performs financial analysis, monitoring and reporting for each pharmacy department in the IDS; provides analysis on a wide range of complex issues related to revenue, expense and reimbursement.
Manage team members and team activities by establishing guidelines for the individual and team performance to ensure desired outcomes and meet department and IDS goals; maintain responsibility for completion of work within the team and hold team members accountable about accomplishing job responsibilities; measure customer satisfaction and provide other metrics to benchmark and analyze team performance; provide performance coaching, development and reviewing for team members.
Collaborates with leadership and staff across the IDS to ensure appropriate expense and revenue allocation; continually evaluates the revenue cycle process to create improvements around this process.
Advances the pharmacy finance agenda through driving and executing pharmacy requirements as part of strategic organizational projects.
Skills & Requirements
Bachelor's Degree Finance or Accounting required
5 years' experience managing finances and billing in a health system, 3 years of which as a project lead required
Pharmacy experience preferred
Auto-ApplyCorporate Philanthropy Analyst
Finance leader job in Houston, TX
As an NRG employee, we encourage you to take charge of your career and development journey. We invite you to explore exciting opportunities across our businesses. You'll find that our dynamic work environment provides variety and challenge. Your growth is key to our ongoing success-take the lead in shaping your career development, goals and future!
**Job Title: Corporate Philanthropy Analyst (or Sr. Analyst)**
**Position Overview:**
NRG is seeking a detail-oriented, collaborative, and purpose-driven professional to join our Corporate Philanthropy team. This role will support the operational and programmatic execution of NRG's philanthropic initiatives, with a focus on leveraging NRG's corporate citizenship to inspire engagement, enhance reputation, strengthen our brand, and advance business goals.
Reporting to the Leader of Operations and Corporate & Enterprise Programs, this role will play a key role in managing processes, coordinating projects, and supporting data and communications that bring our giving pillars to life across the company.
**Key Responsibilities:**
+ **Operations Support** Assist in the day-to-day operations of the corporate philanthropy team, including documentation, systems, and process improvements.
+ **Project Management & Coordination** Support the planning and execution of enterprise-wide philanthropic programs and initiatives, ensuring timelines and deliverables are met.
+ **Grant Process Management** Coordinate grantmaking workflows, including application tracking, approvals, payments, and reporting.
+ **Data Management & Visualization** Maintain accurate records of donations, volunteer hours, and impact metrics; develop dashboards and visual reports to communicate results and insights.
+ **Presentation & Reporting Support** Create PowerPoint presentations and written materials for internal and external audiences, including leadership updates and impact storytelling.
+ **Communications Coordination** Collaborate with internal teams to support messaging, content development, and storytelling around philanthropy and community impact.
**Qualifications:**
+ Bachelor's degree in Business, Public Administration, Communications, Nonprofit Management, data analytics, or related field
+ 2-4 years of experience in corporate philanthropy, CSR, nonprofit operations, or program coordination
+ Strong organizational and project management skills
+ Expert in Excel and PowerPoint; proficiency in the rest of Microsoft Office Suite; experience with Power Bi or other visualization tools
+ Excellent written and verbal communication skills
+ Ability to manage multiple priorities and work collaboratively across teams
+ Passion for social impact, sustainability, and community engagement
**Working Conditions:**
+ Hybrid or office-based work environment
+ Occasional travel
+ Flexibility to occasionally support evening or weekend events as needed
NRG Energy is committed to a drug and alcohol-free workplace. To the extent permitted by law and any applicable collective bargaining agreement, employees are subject to periodic random drug testing, and post-accident and reasonable suspicion drug and alcohol testing. EOE AA M/F/Vet/Disability. Level, Title and/or Salary may be adjusted based on the applicant's experience or skills.
Official description on file with Talent.
Senior Treasury Manager
Finance leader job in Houston, TX
Unity is searching for a Senior Treasury Manager for a global, publicly-traded energy services client located in Houston (Energy Corridor). We're seeking an experienced treasury professional who will be responsible for leading global treasury operations, including managing the company's cash position and forecast, foreign exchange risk management, and trade finance programs. This opportunity has a targeted base compensation of $150K-$170K base plus 20% and LTI. This role will sit in the corporate office w/ a 4/1 hybrid work schedule.
KEY ATTRIBUTES / RESPONSIBILITIES:
• Oversees global cash management program, including funding operational and payroll disbursements and aggregating cash balances to drive liquidity and manage exposures
• Lead global letter of credit/trade finance program
• Manages and maintains relationships with external banking partners and becomes the primary bank portal administrator
• Manage Foreign Exchange exposure and execute spot trades and hedges to support global operations, liquidity, and risk management
• Handles day-to-day administration of debt and trade finance facilities
• Assists with ad-hoc Company capital markets activities
• Work to support SEC reporting requirements related to Treasury responsibilities
• Work with internal and external auditors on an as-needed basis
• Prepare presentation materials for executive management and BOD
EDUCATION / EXPERIENCE:
• Bachelor's degree in accounting, finance, or related field required
• 7+ years' experience in a Treasury role or similar experience in a multinational corporation
JOB KNOWLEDGE, SKILLS, ABILITIES
• Strong understanding of global cash management, FX markets, trade finance, and banking operations
• Experience operating with a Treasury Management System; strong preference for candidates with Treasury Management System implementation experience
• Advanced Microsoft Excel and PowerPoint skills
• Highest standards of accuracy, precision, and integrity; highly organized
• Articulate with excellent verbal and written communication skills Rev.C
• Ability to think creatively, highly driven, and self-motivated
• Demonstrated ability to roll-up sleeves and work with team members in a hands-on capacity just focus.
US Finance Business Consulting - Oil and Gas Sector - Manager
Finance leader job in Houston, TX
At EY, we're all in to shape your future with confidence.
We'll help you succeed in a globally connected powerhouse of diverse teams and take your career wherever you want it to go. Join EY and help to build a better working world.
#Energy Consulting #Finance
Our objective is to provide clients with a unique business perspective on how to transform the finance function - reducing cost base, increasing efficiency and quality of information, and improving decision-making through the following core areas: finance operating model design; business performance management and reporting, shared services design and implementation; finance process improvement, finance system implementation and outsourcing consulting. We've shaped a global ecosystem of CFOs, controllers and other accounting and finance executives to help our clients enhance the value they are adding to their enterprise.
The opportunity
As part of our Finance Transformation team, you will gain Oil and Gas experience working with senior leadership teams in domestic and large multinational companies.
You will combine your finance capability with program and change management expertise to implement and embed improvements and deliver sustainable value.
Your key responsibilities
Your role as a manager will focus on supporting the strategy and delivery of client engagements, interacting at an executive level, as well as sales and practice development activities. In this role, you will help develop high-performing people and teams, supporting them to make an impact that matters, and setting the direction to deliver exceptional client service.
You will work to sell, deliver and manage finance transformation projects in one or more of the following areas
Finance strategy development
Finance operating model design
Finance processes improvement
Shared services and global business services design and implementation
Outsourcing consulting (including managed services)
Financial planning and analysis (FP&A)
Finance systems and applications (e.g., SAP, Blackline), process mining, robotics, and intelligent automation
Financial close, consolidation and reporting
Cost management and profitability analysis
Hydrocarbon accounting, Order-to-cash, procure-to-pay and record-to-report processes
Core responsibilities will also include coaching and mentoring, and performance appraisal.
Skills and attributes for success
Strong written and verbal communication skills, especially around breaking down complex structures into digestible and relevant points for a diverse set of clients and colleagues, at all levels.
By drawing on your knowledge and experience, you'll sell and lead consulting engagements that solve complex issues, provide innovative commercial insights for clients, adapt methods and practices to fit operational team and cultural needs and contribute to thought leadership. You'll actively contribute to improving operational efficiency on projects and internal initiatives.
Successfully manage engagement time and budgets
In line with our commitment to quality, you'll consistently drive projects to completion, manage risk and ensure that work is of high quality.
As an influential member of the team, you'll help to create a positive learning culture and will coach and counsel team members and help them to develop.
Build relationships with client executives
Be able to manage a virtual workforce across multiple time-zones as well as offshore teammates
To qualify for the role, you must have
A bachelor's degree and approximately 5 years of related work experience; or a master's degree and approximately 4 years of related work experience
Approximately 5 years of experience in providing consulting services in the finance function focused in at least one of the following areas: finance operating model design, performance management, shared services design and implementations, outsourcing consulting
Experience in managing large-scale Finance Transformation and/or Enterprise Resource Planning (ERP) implementations preferred
Oil & Gas Industry experience with robust finance operations expertise
Experience leading teams, managing engagement economics and business development
Willingness to travel to meet client obligations
Ideally, you'll also have
An advanced degree in Finance, Accounting, Economics, Business, Operations or superior academic achievement in a related field
CPA
Industry Knowledge in Hydrocarbon Accounting
Planning/budgeting/forecasting and reporting/analytics experience
What we look for
We're interested in passionate leaders with strong vision and a desire to stay on top of trends for their area of expertise and specific skills and knowledge to contribute to our clients and teams. If you have a genuine passion for helping businesses achieve the full potential of their data, this role is for you.
What we offer you
At EY, we'll develop you with future-focused skills and equip you with world-class experiences. We'll empower you in a flexible environment, and fuel you and your extraordinary talents in a diverse and inclusive culture of globally connected teams. Learn more.
We offer a comprehensive compensation and benefits package where you'll be rewarded based on your performance and recognized for the value you bring to the business. The base salary range for this job in all geographic locations in the US is $128,400 to $235,300. The base salary range for New York City Metro Area, Washington State and California (excluding Sacramento) is $154,000 to $267,400. Individual salaries within those ranges are determined through a wide variety of factors including but not limited to education, experience, knowledge, skills and geography. In addition, our Total Rewards package includes medical and dental coverage, pension and 401(k) plans, and a wide range of paid time off options.
Join us in our team-led and leader-enabled hybrid model. Our expectation is for most people in external, client serving roles to work together in person 40-60% of the time over the course of an engagement, project or year.
Under our flexible vacation policy, you'll decide how much vacation time you need based on your own personal circumstances. You'll also be granted time off for designated EY Paid Holidays, Winter/Summer breaks, Personal/Family Care, and other leaves of absence when needed to support your physical, financial, and emotional well-being.
Are you ready to shape your future with confidence? Apply today.
EY accepts applications for this position on an on-going basis.
For those living in California, please click here for additional information.
EY focuses on high-ethical standards and integrity among its employees and expects all candidates to demonstrate these qualities.
EY | Building a better working world
EY is building a better working world by creating new value for clients, people, society and the planet, while building trust in capital markets.
Enabled by data, AI and advanced technology, EY teams help clients shape the future with confidence and develop answers for the most pressing issues of today and tomorrow.
EY teams work across a full spectrum of services in assurance, consulting, tax, strategy and transactions. Fueled by sector insights, a globally connected, multi-disciplinary network and diverse ecosystem partners, EY teams can provide services in more than 150 countries and territories.
EY provides equal employment opportunities to applicants and employees without regard to race, color, religion, age, sex, sexual orientation, gender identity/expression, pregnancy, genetic information, national origin, protected veteran status, disability status, or any other legally protected basis, including arrest and conviction records, in accordance with applicable law.
EY is committed to providing reasonable accommodation to qualified individuals with disabilities including veterans with disabilities. If you have a disability and either need assistance applying online or need to request an accommodation during any part of the application process, please call 1-800-EY-HELP3, select Option 2 for candidate related inquiries, then select Option 1 for candidate queries and finally select Option 2 for candidates with an inquiry which will route you to EY's Talent Shared Services Team (TSS) or email the TSS at **************************.
Manager Treasury
Finance leader job in Houston, TX
The Manager Treasury requires an in-depth understanding of treasury concepts, theories, and principles and basic knowledge of other related disciplines. The Manager Treasury must be able to apply an understanding of the industry to improve effectiveness, provide guidance, and influence processes and policies for the treasury discipline, as well as identify and resolve technical, operational, and organizational problems that impact effectiveness. The Manager Treasury impacts the level of service and the treasury team's ability to meet quality and timeliness objectives. Decisions made by the Manager Treasury should be guided by policies, resource requirements, budgets, and the business plan.
Essential Qualifications and Education:
Bachelor's degree in accounting, business, or finance (MBA, CTP or CFA preferred)
5-6 Years of relevant experience
Broad training in a related field, usually acquired through college-level education or work-related experience
Strong knowledge of banking, financial markets, and Letters of Credit (LOC)
Must possess a strong financial risk management background, including an understanding of the use of different financial instruments
Strong analytical, problem-solving, and negotiation skills
Strong systems skills, ERP, e-banking platforms, Treasury Workstation (Quantum or others), and Bloomberg systems experience, preferred
Strong organizational skills, must be able to work independently and support multiple individuals
Must have a high degree of self-initiative
Must be results-oriented
Must be able to perform effectively under tight deadlines with multiple priorities
Must be team-oriented and able to thrive in a fast-paced, changing environment
#LI-CA1
#LI-DNI
Key Tasks and Responsibilities:
Negotiate bi-lateral facilities with financial institutions and manage credit facilities to ensure capacity for upcoming projects
Utilize financial instruments, including letters of credit, guarantees, sureties, and derivatives, to mitigate company and project risks
Work with global business units on identifying, quantifying, and forecasting commodities, interest rates, foreign exchange, and other related project risks
Develop strategies to manage these risks under the guidance of internal risk management policies and procedures, as well as SFAS 133 and Sarbanes-Oxley
Stay abreast of financial market developments by working with investment banking partners and other sources
Responsible for capital markets modeling and credit facility reporting
Work with the Sr Treasury Manager and Treasurer on financing and refinancing projects
Prepare debt covenants compliance certificates for credit facility banks
Liaise with domestic and international cash management financial institutions
Lead and conduct meetings to cultivate relationships between the company and financial institutions
Lead and participate in special projects to develop or improve areas of cash management, including cash planning, forecasting, funding, and intercompany loan or settlement processes
Own and lead the implementation, enforcement, and verification of compliance with all McDermott policies and procedures
Ensure employees understand their responsibility and authority to effectively implement the requirements of all McDermott policies and procedures
Ensure the timely completion of all mandatory training by themselves and their teams
Auto-ApplyCorporate Philanthropy Analyst
Finance leader job in Houston, TX
As an NRG employee, we encourage you to take charge of your career and development journey. We invite you to explore exciting opportunities across our businesses. You'll find that our dynamic work environment provides variety and challenge. Your growth is key to our ongoing success-take the lead in shaping your career development, goals and future!
Job Title: Corporate Philanthropy Analyst (or Sr. Analyst)
Position Overview:
NRG is seeking a detail-oriented, collaborative, and purpose-driven professional to join our Corporate Philanthropy team. This role will support the operational and programmatic execution of NRG's philanthropic initiatives, with a focus on leveraging NRG's corporate citizenship to inspire engagement, enhance reputation, strengthen our brand, and advance business goals.
Reporting to the Leader of Operations and Corporate & Enterprise Programs, this role will play a key role in managing processes, coordinating projects, and supporting data and communications that bring our giving pillars to life across the company.
Key Responsibilities:
Operations Support
Assist in the day-to-day operations of the corporate philanthropy team, including documentation, systems, and process improvements.
Project Management & Coordination
Support the planning and execution of enterprise-wide philanthropic programs and initiatives, ensuring timelines and deliverables are met.
Grant Process Management
Coordinate grantmaking workflows, including application tracking, approvals, payments, and reporting.
Data Management & Visualization
Maintain accurate records of donations, volunteer hours, and impact metrics; develop dashboards and visual reports to communicate results and insights.
Presentation & Reporting Support
Create PowerPoint presentations and written materials for internal and external audiences, including leadership updates and impact storytelling.
Communications Coordination
Collaborate with internal teams to support messaging, content development, and storytelling around philanthropy and community impact.
Qualifications:
Bachelor's degree in Business, Public Administration, Communications, Nonprofit Management, data analytics, or related field
2-4 years of experience in corporate philanthropy, CSR, nonprofit operations, or program coordination
Strong organizational and project management skills
Expert in Excel and PowerPoint; proficiency in the rest of Microsoft Office Suite; experience with Power Bi or other visualization tools
Excellent written and verbal communication skills
Ability to manage multiple priorities and work collaboratively across teams
Passion for social impact, sustainability, and community engagement
Working Conditions:
Hybrid or office-based work environment
Occasional travel
Flexibility to occasionally support evening or weekend events as needed
NRG Energy is committed to a drug and alcohol-free workplace. To the extent permitted by law and any applicable collective bargaining agreement, employees are subject to periodic random drug testing, and post-accident and reasonable suspicion drug and alcohol testing. EOE AA M/F/Vet/Disability. Level, Title and/or Salary may be adjusted based on the applicant's experience or skills.
Official description on file with Talent.
Manager Treasury
Finance leader job in Houston, TX
The Manager Treasury requires an in-depth understanding of treasury concepts, theories, and principles and basic knowledge of other related disciplines. The Manager Treasury must be able to apply an understanding of the industry to improve effectiveness, provide guidance, and influence processes and policies for the treasury discipline, as well as identify and resolve technical, operational, and organizational problems that impact effectiveness. The Manager Treasury impacts the level of service and the treasury team's ability to meet quality and timeliness objectives. Decisions made by the Manager Treasury should be guided by policies, resource requirements, budgets, and the business plan.
Essential Qualifications and Education:
Bachelor's degree in accounting, business, or finance (MBA, CTP or CFA preferred)
5-6 Years of relevant experience
Broad training in a related field, usually acquired through college-level education or work-related experience
Strong knowledge of banking, financial markets, and Letters of Credit (LOC)
Must possess a strong financial risk management background, including an understanding of the use of different financial instruments
Strong analytical, problem-solving, and negotiation skills
Strong systems skills, ERP, e-banking platforms, Treasury Workstation (Quantum or others), and Bloomberg systems experience, preferred
Strong organizational skills, must be able to work independently and support multiple individuals
Must have a high degree of self-initiative
Must be results-oriented
Must be able to perform effectively under tight deadlines with multiple priorities
Must be team-oriented and able to thrive in a fast-paced, changing environment
#LI-CA1
#LI-DNI
Key Tasks and Responsibilities:
Negotiate bi-lateral facilities with financial institutions and manage credit facilities to ensure capacity for upcoming projects
Utilize financial instruments, including letters of credit, guarantees, sureties, and derivatives, to mitigate company and project risks
Work with global business units on identifying, quantifying, and forecasting commodities, interest rates, foreign exchange, and other related project risks
Develop strategies to manage these risks under the guidance of internal risk management policies and procedures, as well as SFAS 133 and Sarbanes-Oxley
Stay abreast of financial market developments by working with investment banking partners and other sources
Responsible for capital markets modeling and credit facility reporting
Work with the Sr Treasury Manager and Treasurer on financing and refinancing projects
Prepare debt covenants compliance certificates for credit facility banks
Liaise with domestic and international cash management financial institutions
Lead and conduct meetings to cultivate relationships between the company and financial institutions
Lead and participate in special projects to develop or improve areas of cash management, including cash planning, forecasting, funding, and intercompany loan or settlement processes
Own and lead the implementation, enforcement, and verification of compliance with all McDermott policies and procedures
Ensure employees understand their responsibility and authority to effectively implement the requirements of all McDermott policies and procedures
Ensure the timely completion of all mandatory training by themselves and their teams
Auto-ApplyTreasurer
Finance leader job in Houston, TX
Are you ready to move your career forward and help shape our company's and customers' futures?
If you aspire to challenge yourself, work with the best in the industry and join a successful team where you can make a meaningful contribution, then we invite you to join us at Ketjen Corporation, a provider of advanced catalyst solutions to leading producers in the petrochemical, refining, and specialty chemicals industries. Together, we can create a legacy marked by innovation, excitement, and energy.
About Ketjen
Ketjen Corporation is a provider of advanced catalyst solutions to leading producers in the petrochemical, refining, and specialty chemicals industries. Our company is driven by a strong set of core values: curiosity, care, collaboration, humility, accountability, and integrity. These values guide our decisions, shape our culture, and define how we work together to deliver exceptional value to our customers and communities.
About the Role
The Treasurer is responsible for leading the global treasury function, including treasury operations, technology, banking relationships, capital markets activities, risk management, and cash forecasting. Reporting directly to the CFO and based in Ketjen's Houston area office (Clear Lake), this strategic role is a key member of the finance leadership team and serves as a key advisor to senior leadership. The ideal candidate brings deep expertise in treasury operations, strong leadership skills, and experience in a manufacturing or industrial environment, preferably chemicals.
KEY RESPONSIBILITIES
Strategic Leadership & Governance
Develop and execute global treasury strategies in support of company objectives, including capital structure optimization, liquidity management, and risk management.
Lead treasury governance, ensuring compliance with internal controls, policies, and regulatory requirements.
Serve as a strategic partner to company leadership on treasury-related matters.
Treasury Operations & Technology
Lead the completion of the treasury stand up and separation from the former parent.
Oversee global cash management, banking infrastructure, and treasury systems (SAP S/4HANA, SWIFT, etc.).
Champion digital transformation initiatives including automation, RPA, and data analytics to enhance treasury efficiency and visibility.
Lead treasury technology roadmap, including system upgrades, integrations, and vendor management.
Capital Markets & Risk Management
Manage relationships with financial institutions, rating agencies, and external advisors.
Lead execution and oversight of financial instruments including intercompany loans, FX hedging, and interest rate derivatives.
Monitor global financial markets and assess implications for Ketjen's treasury strategy.
Team Leadership & Development
Build and lead a high-performing treasury team, fostering a culture of innovation, accountability, and continuous improvement.
Provide mentorship and development opportunities to team members across treasury and finance functions.
Reporting & Analytics
Oversee global cash flow forecasting and liquidity planning.
Develop and present treasury dashboards and KPI reports to senior leadership.
Ensure accurate and timely reporting of treasury activities for internal and external stakeholders.
QUALIFICATIONS
Required Qualifications
Bachelor's degree in Finance, Accounting, Economics, or related field
Minimum 10 years of progressive experience in corporate treasury, finance, or banking
Proven leadership experience managing global treasury operations and teams
Deep expertise in ERP systems (SAP S/4HANA preferred), treasury workstations, and banking platforms
Strong analytical and communication skills
Demonstrated ability to influence and collaborate across functions and geographies
Strong alignment with Ketjen's core values: curiosity, care, collaboration, humility, accountability, and integrity
Preferred Qualifications
MBA or Master's degree in Finance or related discipline
CTP (Certified Treasury Professional) or similar certification
Experience in a multinational manufacturing or chemicals company
Demonstrated success in leading treasury transformations, system implementations, or organizational change
Benefits of Joining Ketjen
Competitive compensation
Comprehensive benefits package
A diverse array of resources to support you professionally and personally.
Apply today and help Ketjen unleash the POTENTIAL of advanced chemistry for industries that power the world.
Auto-ApplyFinancial Controller
Finance leader job in Houston, TX
CONTROLLER
The Controller at Cherco plays a key role in the financial team, ensuring the accuracy, reliability, and integrity of the company's financial records. This position involves detailed financial operations, including account reconciliations, financial reporting, and support for special projects and financial audits. The Accounting Analyst's diligent efforts underpin Cherco's commitment to excellence and strategic goals. The position is full-time and in-office.
Key Responsibilities:
Financial Record Integrity & Reconciliation: Conduct detailed bank and account reconciliations, maintain ledger integrity, identify necessary accruals, and collaborate on financial data management improvements to achieve 100% accuracy in financial records.
Month-End Financial Close Process: Prepare and post journal entries accurately, collaborate with departments to gather financial information, assist in the preparation of financial statements, actively support the Accounts Receivable team, and ensure adherence to accounting standards, thereby meeting month-end closing deadlines consistently.
Documentation of Accounting Processes & Procedures: Develop and maintain documentation for accounting processes and procedures, identify areas for improvement, and conduct training on these procedures to establish a detailed, efficient, and standardized accounting process.
Special Projects & Financial Audit Support: Support special projects as requested by management, participate in accounting system testing and reconciliation, prepare financial documents for audits, and provide auditors with necessary information and explanations, ensuring the successful completion of special projects and financial audits.
Qualifications:
Technical Proficiency in accounting principles
1+ year of NetSuite ERP experience, or similar
6-10 years of experience in Accounting (public or industry)
Analytical abilities for detailed financial analysis
Attention to Detail in all financial documentation
Commute to this job's location in Northwest Houston
Adaptability to manage various tasks and changes
Problem-Solving skills to address and resolve issues effectively
Communication skills for effective collaboration
Time Management to prioritize work and meet deadlines
Collaboration and Teamwork in line with company culture
Continuous Improvement mindset for personal and process enhancement
Ethics and Integrity to uphold financial accuracy and compliance
Company Overview:
Headquartered in Houston, Texas, CherCo is an energy infrastructure company specializing in contracted compression and aftermarket services. Founded in 2021, CherCo provides dual-fuel (gas and electric) compression services in a wide range of horsepower (“HP”) offerings to operators throughout Texas, New Mexico, Louisiana and Oklahoma. CherCo's aftermarket services division provides preventive maintenance, overhauls and equipment rebuild, engine overhauls and swing engines, part sales and used equipment sales for those who chose to own their own compressors.
Featured benefits
Medical insurance
Vision insurance
Dental insurance
401(k)
Skills
Financial Close Process, Account Reconciliation, Accounting, Accounting Standards, Financial Audits, NetSuite and MS Excel. Business Intelligence reporting software a plus but not required.
Treasurer
Finance leader job in Houston, TX
Department: Fin Treasury - Treasurers Ofc Contract Months:12 Salary Range: $190,000.00 - $235,000.00 Academic Year: 25-26 Responsible for the direction and management of the treasury activities for the district. Ensures that financial transactions, policies and procedures meet district objectives, needs, and regulatory body requirements. Directs the district banking, debt, and investment functions.
MAJOR DUTIES & RESPONSIBILITIES
* Analyzes capital markets for financial risk management and investment opportunities while planning appropriate district responses. Initiates investment of available funds. Develops and supervises investment reporting. Formulates changes to investment policy.
* Manages system of daily cash and liquidity requirements. Develops and oversees cash flow forecasts and methodologies. Formulates and implements changes to cash policies and procedures.
* Directs Debt Manager in the performance of district debt management activity including issuance of board approved debt, financial regulatory and management reporting, payment processing, and policy compliance. Formulates changes to debt management policy. Develops debt service budget requirements and budget to actual variance reporting.
* Significant responsibilities in preparation of annual financial report (CAFR).
* Oversees responsibilities for reconciliations of bank and general ledger accounts, collateral monitoring and payment issuance process. Monitors treasury compliance with internal controls.
* Manages bank and brokerage relationships. Plans internal treasury staff development and training.
* Performs other job-related duties as assigned.
MAJOR DUTIES & RESPONSIBILITIES CONTINUED
EDUCATION
Bachelor's Degree
WORK EXPERIENCE
7+ years
SKILL AND/OR REQUIRED LICENSING/CERTIFICATION
CPA, CTP, CFA or similar certifications or securities licensing preferred.
Software skills related to spreadsheets and/or Microsoft Office required.
LEADERSHIP RESPONSIBILITIES
Senior Management. Manages a department or multiple major disciplines, often through subordinate management. Regularly manages staff in the completion of large-scale projects or a very closely related set of projects/initiatives often spanning multiple disciplines. Receives strategies and broad departmental objectives from senior leadership; establishes operational objectives and work plans; delegates assignments to subordinate management and staff. Allocates resources according to priorities and serves as the primary decision maker regarding hiring, performance and budget recommendations.
WORK COMPLEXITY/INDEPENDENT JUDGMENT
Work is substantially complex, varied and regularly requires the selection and application of technical and detailed guidelines. Independent judgment is required to identify, select, and apply the most appropriate methods as well as interpret precedent. Position regularly makes recommendations to management on areas of significance to the department. Supervision received typically consists of providing direction on the more complex projects and new job duties and priorities.
BUDGET AUTHORITY
Specifies requirements for a plan and/or budget.
PROBLEM SOLVING
Decisions are made with greater freedom and discretion, including recommendations that are subject to approval on matters that may affect multiple departments across HISD. Job is frequently expected to recommend new solutions to problems, to improve existing methods/procedures/services and generate new ideas. May also review decisions made by other individuals on more routine matters.
IMPACT OF DECISIONS
Decisions have moderate to significant impact to the facility/department or division, causing increased satisfaction or dissatisfaction; producing efficiencies or delays; promoting or inhibiting personal intellectual or professional development; and/or contributing to financial gain or expense. Errors may be serious, usually not subject to direct verification or check, causing losses such as improper cost calculations, overpayment or improper utilization of labor, materials or equipment. Effect usually confined to the organization itself and may be short or long term.
COMMUNICATION/INTERACTIONS
Collaborate and solve problems - works with others to resolve problems, clarify or interpret complex information/policies, and provide initial screening/negotiations without approval authority. Interactions are typically with customers, senior level professional staff, and managers.
CUSTOMER RELATIONSHIPS
Regularly assesses and diffuses complex, and escalated customer issues. Takes personal responsibility and accountability for solving systemic customer service problems. Regularly explores alternative and creative solutions to meeting the needs of the customer within HISD's policies and guidelines.
WORKING/ENVIRONMENTAL CONDITIONS
Work is normally performed in a typical interior work environment which does not subject the employee to any hazardous or unpleasant elements.
Ability to carry and/or lift up to 15 pounds.
Houston Independent School District is an equal opportunity employer.
Operations Finance Manager
Finance leader job in Houston, TX
Who We Are
™
Enovis Corporation (NYSE: ENOV) is an innovation-driven medical technology growth company dedicated to developing clinically differentiated solutions that generate measurably better patient outcomes and transform workflows. Powered by a culture of continuous improvement, global talent and innovation, the Company's extensive range of products, services and integrated technologies fuels active lifestyles in orthopedics and beyond. For more information about Enovis, please visit ***************
What You'll Do
At Enovis™ we pay attention to the details. We embrace collaboration with our partners and patients, and take pride in the pursuit of scientific excellence - with the goal of transforming medical technology as we know it.
Because that's how we change the lives of patients for the better. And that's how we create better together. Why work at Enovis? See for yourself.
As a key member of the Foot & Ankle team you will play an integral part in helping Enovis drive the medical technology industry forward through transforming patient care and creating better patient outcomes.
Job Title:
Operations Finance Manager
Reports To:
VP, Finance | RECON
Location:
Houston, TX (Onsite)
Job Title/High-Level Position Summary:
The Operations Finance Manager is a key member of the Foot & Ankle leadership team, responsible for overseeing all financial aspects of plant operations. The role ensures accurate reporting, cost control, compliance, and strategic financial guidance to support operations performance and profitability, while providing recommendations to management on strategic operations
Key Responsibilities:
Financial leadership
Manage all accounting and finance activities for the plant, including budgeting, forecasting, and reporting
Oversee standard month end financial reporting and analytics related to manufacturing costs, inventory, and spend information for decision making support
Monitor production costs, analyze variances, and implement strategies to improve efficiency and profitability
Partner with plant management to provide financial insights that drive operational decisions
Prepare monthly, quarterly, and annual reports, highlighting key trends and improvement opportunities
Drive consistent methodologies with the International team (located in France)
Prepares estimates of new and proposed product or service costs
Develop and maintain standard costs of finished goods and production components in ERP system
Compliance oversight
Ensure adherence to corporate policies, GAAP standards, and regulatory requirements
Maintain and strengthen internal controls to safeguard company assets
Maintain and improve processes and controls associated with manufacturing costs and inventory valuation
Team leadership
Supervise and develop plant accounting staff, fostering a culture of accountability and continuous improvement
Partner with the senior leadership team to drive margin improvement, through thoughtful analytics and review of KPIs
Currently, Enovis does not provide sponsorship for employment visas (e.g., H-1B) and will not offer such sponsorship in the future. Applicants must already have full-time work authorization in the United States, both now and in the future, without requiring sponsorship.
Minimum Basic Qualifications:
Bachelor's degree in accounting or Finance - Medical Manufacturing industry experience a plus
Hands on ERP experience - Oracle and/or NetSuite preferred
10+ years of accounting experience; 5+ years cost accounting preferred
3+ years of operational experience, especially with inventory
Excellent analytical skills with a strong focus on accuracy and attention to detail
Excellent communication skills and high confidence in stating professional opinions
Level of English: Advanced
Strong grasp of GAAP accounting and general accounting concepts
Strong Excel skills, especially advanced financial modeling and analytical techniques
Demonstrated ability to streamline and automate complex processes
Travel Requirements:
20% - Domestic and International Travel
“Creating better together”. It's the Enovis purpose, and it's what drives us and empowers us every day on a global scale. We know that the power to create better - for our customers, our team members, and our shareholders - begins with having the best team, pursuing common goals, operating at the highest levels, and delivering extraordinary outcomes.
What does creating better together mean to us at Enovis? Discover the “why” behind our purpose, values and behaviors:
Our Enovis Purpose, Values and Behaviors on Vimeo
We offer a comprehensive benefits package that includes:
Medical Insurance
Dental Insurance
Vision Insurance
Spending and Savings Accounts
401(k) Plan
Vacation, Sick Leave, and Holidays
Income Protection Plans
Discounted Insurance Rates
Legal Services
EOE AA M/F/VET/Disability Statement
All qualified applicants will receive consideration for employment and will not be discriminated against on the basis of race, religion, color, national origin, sex, protected veteran status, disability, or any other basis protected by federal, state or local laws.
Auto-ApplyTreasurer
Finance leader job in Houston, TX
QUALIFICATIONS: * Bachelor's degree from a recognized, accredited college or university with a major in accounting, finance, or related field. * Minimum of five (5) years' experience in an accounting office, school district accounting office preferred.
* Experience in banking, investments, securities or other treasury functions preferred.
* Experience in bond and arbitrage administration preferred.
* Ability to analyze and interpret financial data, evaluate accounting transactions, and recommend improved procedures.
* Demonstrated knowledge of governmental accounting and auditing principles established by the Governmental Accounting Standards Board (GASB).
* Ability to multi-task, organize, and prioritize projects.
* Self-motivated with strong communication and interpersonal skills.
TERMS OF EMPLOYMENT: Probationary/Term Contract: 250 days
SALARY:
$78,206 (BA-5)
Salary Range (based on experience) as set by the Board of Trustees for the school year
ESSENTIAL FUNCTIONS:
* Manage the investment of district funds in accordance with Public Funds Investment Act and all federal, state, and local policies.
* Prepare and maintain accounting records of District investments, banking, and related transactions, ensuring timely and accurate entry into the general ledger.
* Assist in bond administration, including debt services, arbitrage reporting and compliance with all reporting regulations.
* Monitor District's daily banking activities and collateralization of bank balances.
* Monitor District's cash to ensure cash is adequately secured and has available funds to fulfill financial commitments.
* Prepare monthly, quarterly, and annual reports on the status and performance of the investment portfolios.
* Prepare comprehensive reports detailing cash flow analysis, fund comparisons, and financial forecasts across all District accounts.
* Oversee the execution and retention of agreements between the District and brokers involved in investment transactions.
* Serves as the security administrator for all banking system modules, overseeing access controls and ensuring compliance with policies and procedures.
* Prepare the depository bid and manage the banking relationship to support the operational needs of the District.
* Identify and evaluate new investment opportunities and cash management strategies that comply with state regulations and improve the District's financial returns.
* Review, update, and document District's cash and investment policies to facilitate efficient cash management.
* Perform other duties as assigned by the Director of Financial Services.
WORKING CONDITIONS:
Mental Demands/Physical Demands/Environmental Factors:
Maintain emotional control under stress. Occasional district-wide travel; frequent prolonged and irregular hours.
INQUIRIES:
Adam Leal, Director, Financial Services
*******************
APPLICATION INFORMATION:
Human Resources
************
DEADLINE TO APPLY:
Until filled
All applications will be reviewed.
Not all applicants will be interviewed.
Hiring Managers may choose to email you regarding this application. Please monitor your email regularly for any communication.
Corporate - Restructuring & Special Situations Finance
Finance leader job in Houston, TX
Job Description: Corporate - Restructuring & Special Situations Finance
Salary: $365,000 - $435,000 per annum
Job Responsibilities:
Develop and implement comprehensive legal strategies for complex restructuring and special situations transactions.
Advise clients on various aspects of corporate finance, including mergers and acquisitions, distressed asset sales, and bankruptcy proceedings.
Conduct thorough analyses of financial statements, legal documents, and market trends to provide expert guidance.
Engage in negotiations and liaise with stakeholders, including clients, opposing counsel, and financial institutions.
Draft and review legal documents related to restructuring transactions, ensuring compliance with all relevant laws and regulations.
Monitor ongoing legal developments in corporate restructuring and special situations finance to provide proactive advice.
Collaborate with cross-functional teams within the firm to deliver comprehensive solutions to clients.
Mentor junior attorneys and staff, fostering an environment of learning and professional growth.
Represent the firm at industry conferences and seminars to promote its reputation in the field.
Essential Qualifications:
Juris Doctor (JD) degree from an accredited law school.
Licensed to practice law in the relevant jurisdiction.
Strong academic credentials and a proven track record of success in corporate law and finance.
Desired Experience:
Minimum of 5 to 9 years of experience in corporate restructuring, special situations finance, or related fields.
Experience representing clients in high-stakes negotiations and transactions.
Demonstrated ability to manage complex legal matters and provide effective solutions under pressure.
Excellent communication and interpersonal skills to build and maintain client relationships.
Salary & Benefits:
Annual salary ranging from $365,000 to $435,000, commensurate with experience.
Comprehensive benefits package, including health, dental, and vision insurance.
Retirement savings plan with employer match and profit-sharing options.
Generous paid time off and flexible work arrangements.
Opportunities for professional development and continuing legal education.
About the Company:
Am Law 100 Firm is a distinguished law firm with over 1,900 lawyers across 21 offices globally, specializing in a wide array of practice areas. Our approach is defined by a unique blend of vision and precision, allowing us to provide tailored legal strategies for even the most complex matters. We value deep partnerships with our clients, empowering them to navigate challenges with courage and achieve success during unprecedented times.
Director, Financial Services/System Bursar
Finance leader job in Houston, TX
The Director of Financial Services/System Bursar is responsible for the recommendation and ultimate implementation tuition and fees and State mandated and Board of Trustees approved optional student waivers and exemptions. Manage the student and financial information systems as related, but not limited to assessment, accounting, reporting and collection, and deposit of tuition and fees, exemptions, and waivers. Ensure proper and timely payment of refunds and student credit balances including financial aid residuals, 3rd party billing, management of federal and state cash supporting aid and scholarships and collection of delinquent accounts and all billing and receivables. Has reporting oversight of the Student Accounts, Cashiering Operations, Receivables and Collections, and Scholarship Funds Accounting areas.
Executive level staff at HCC are system-wide leaders that share the responsibility to collaboratively support the one-college vision articulated in our strategic plan - Embracing Houston's Future - with college strategic priorities as measurable manifestations of our shared Mission, Vision, and Values.
Responsible for the design, execution, and effectiveness of a system of internal controls, which provides reasonable assurance that operations are effective and efficient, assets, are safeguarded, financial information is reliable and compliant with applicable laws, regulations, policies and procedures.
Manage Talent Engagement activities for direct reports in regards to: recruiting and selection, hiring and termination, training, development, mentoring, counseling, and performance evaluations.
ESSENTIAL FUNCTIONS
Administer and manage the College's on-line and in-line cashiering system, 3rd party vendor cash pick-up services, and the Student Payment Plan system. In charge of all payment solutions including eMarketer/eCommerce, event management and other point of sale systems.
Responsible for HCC's compliance with the Single Audit as required by the US Office of Management and Budget Circular - Audits of State, Local Governments and Non-Profit Organizations and the State of Texas Single Audit Circular.
Responsible for HCC's compliance with Department of Education's Cash Management Regulations (CFR 688.164) and the fiscal management of scholarship funds including drawing down funds from the Department of Education using ED's current system for scholarships awarded to students.
Manage all student financial account activities, including but not limited to the College's tuition and fee revenues, and all other student-related incidental charges and revenues. Work with the awarded collection agency to ensure timely billings, collections and reporting of tuition and fees for the System.
Responsible for HCC's Merchant Services that process all credit card transactions and its settlement. Ensures HCC's compliance with Payment Card Industry Data Security Standard (PCI-DSS) regulations.
Responsible for the timely and accurate reporting to Texas Higher Education Coordinating Board (THECB) and other state and federal agencies.
Act as resource for Finance and Administration to interpret Business Office procedures, HCC policies and procedures, and the rules and regulations of THECB and other external agencies. Recommend and develop changes to the policies, regulations and procedures as needed.
Provide leadership, guidance, assistance, and directives to all college business offices in all cashiering functions, and to program and COE directors/managers regarding program and course charges.
Maintain system tables for registration codes including tuition and fee codes and schedules per term, Calendar/schedule set-up calendar/schedule covering refund schedule and percentages, waivers, 3rd Party (B-codes) set-ups, grant (G-code) set-ups, and others.
Act as the head of the ad-hoc committee regarding enrollment cancellation and administer changes and process improvement.
Advise Associate Vice Chancellor Finance and Accounting on the interpretation/application of federal/state laws and regulation as related to student financial services and accounts.
Maintain Cash Handling Procedures Manual to provide operating guidance for the colleges and Student Financial Services staff.
Collaborate with the Executive Director of Financial Aid, Registrar, and HCC departments to ensure there is a concerted and synchronized effort towards student service.
Responsible for the accounting of Scholarship Funds, including but not limited to Department of Education Title IV grants.
Responsible for the preparation of the financial portions of audit schedules for State, Federal, internal and external auditors, including but not limited to the Schedule of Expenditures of Federal Awards and Schedule of Expenditures of State of Texas awards.
Perform other duties, tasks and assignments as required.
QUALIFICATIONS
Education & Experience
* Bachelor's degree in Accounting or related field is required
* 6 years of administrative experience in accounting/business office and supervisory experience required
* Educational system experience preferred
Licensing & Certification
* Valid Texas Driver License
* Certified Public Accountant (CPA) license in the State of Texas preferred.
Special Skills
* MS Office Programs
* Information Management Systems
* Budget Management
* Strong analytical skills
* Conflict resolution techniques
Competencies
* Acting as a Champion for Change
* Thinking like an Entrepreneur
* Driving for Results
* Leveraging Opportunities
* Setting a Strategic Vision
* Attracting & Developing Talent
* Inspiring & Motivating Others
* Acting Strategically
* Demonstrating Beliefs & Principals
* Managing Resources
Working Conditions
General Office. Must be able to perform all job requirements with or without reasonable accommodations; remain in a stationary position during shift; move items weighing up to 25 pounds; position self to operate job equipment; apply established protocols in a timely manner. Must access, input and retrieve information from technology devices; communicate with others to accomplish job requirements. May be required to work after hours to include weekends and holidays.
SECURITY SENSITIVE: This job class may contain positions that are security sensitive and thereby subject to the provisions of Texas Education Code § 51.215
The Organization
Houston City College (HCC) is composed of 14 Centers of Excellence and numerous satellite centers that serve the diverse communities in the Greater Houston area by preparing individuals to live and work in an increasingly international and technological society. HCC is one of the country's largest single-accredited, open-admission, community colleges offering associate degrees, certificates, workforce training, and lifelong learning opportunities.
The Team
Play a central role at HCC as you keep our everyday operations running like clockwork. You'll get the chance to make things happen and work closely with inspiring leaders across different parts of the institution. Whether your role is supportive, administrative, financial or something else, you'll be part of a dynamic team that not only provides HCC students with cutting-edge academic and career tools, it also takes care of its people.
Location
Houston is a city with limitless possibilities:
* Fourth-largest city in the U.S. and home to 54 Fortune 500 companies, second only to New York City's 55.
* Approximately 145 languages are spoken here.
* Overall after-taxes living costs are 5.6 percent below the average for all 308 urban areas recently surveyed.
* Houston is a major-league sports town, and don't forget the annual Houston Livestock Show & Rodeo.
* The weather is great! Mild winters ensure that outdoor activities can be enjoyed year-round.
* World-renowned medical care. The Houston metro area has long been known for its first-rate healthcare system, with many Houston area hospitals consistently ranking among the nation's top institutions.
* With over 150 museums and cultural institutions in the Greater Houston area, museums are a large part of Houston's cultural scene.
* Houston is the Culture & Culinary Capital of Texas with more than 7,500 restaurants and eating establishments covering 60+ cuisines.
If this sounds like the role for you and you're ready to join an amazing team, please apply right away.
EEO Statement
Houston City College does not discriminate on the bases of race, color, religion, sex, gender identity and expression, national origin, age, disability, sexual orientation or veteran's status. The following person has been designated to handle inquiries regarding the non-discrimination policies:
Sandra B. Jacobson, J.D., M.Ed., SHRM-SCP, Interim Director of EEO and Compliance & Title IX Coordinator
Office of Equal Opportunity and Title IX
PO Box 667517
Houston TX, 77266
************ or *******************
HCC values its employees and their contributions, promotes opportunities for their professional growth and development, and provides a positive working and learning environment that encourages involvement, innovation, and creativity.
Individuals with disabilities, who require special accommodations to interview, should contact **************.
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