Vice President of Finance
Finance manager job in Santa Fe Springs, CA
Welcome to Gelson's!
For almost 75 years, Gelson's has been a trusted name in Southern California grocery retail, distinguished by an uncompromising commitment to quality, service, and excellence. Our legacy is built on delivering a premium shopping experience while continuously evolving to meet the needs of our customers, communities, and partners.
We are currently seeking a Vice President of Finance to join our executive leadership team! You will provide strategic financial stewardship for the organization. This role is responsible for guiding all financial functions, ensuring strong governance, sustainable growth, and disciplined financial management.
The Vice President of Finance will serve as a key strategic partner to the executive team and will work closely with our Japan based parent company to ensure alignment with corporate objectives, reporting standards, and long-term financial strategy.
This is a critical leadership role for a seasoned finance executive who brings strategic vision, operational rigor, and collaborative leadership.
Key Responsibilities:
Provide executive leadership and strategic direction for all financial functions, including accounting, financial planning and analysis, budgeting, forecasting, and treasury
Serve as a trusted advisor to the executive leadership team, delivering insight and guidance on financial performance, risk management, and long-term value creation
Establish and oversee robust internal controls, ensuring the integrity of financial reporting and the protection of company assets
Lead the preparation and communication of monthly, quarterly, and annual financial results to executive leadership and parent company stakeholders
Partner cross-functionally with operations, merchandising, marketing, HR, and IT to evaluate investments, drive return on investment, and support enterprise-wide initiatives
Oversee audit readiness and regulatory compliance, ensuring adherence to GAAP and other applicable financial standards
Build, lead, and develop a high-performing finance organization, fostering a culture of accountability, excellence, and continuous improvement
Serve as the primary financial liaison with our parent company, supporting governance requirements, financial transparency, and strategic alignment
Qualifications:
Bachelor's degree in finance, Accounting, or a related discipline; MBA and/or CPA strongly preferred
15+ years of progressive financial leadership experience, including senior-level or executive roles
Demonstrated success leading finance functions within complex, multi-unit or retail organizations
Strong executive presence with the ability to influence, collaborate, and communicate effectively at the board and senior leadership levels
Deep expertise in financial reporting, internal controls, audit management, and strategic financial planning
Experience working with international or parent-company stakeholders is highly desirable
Why work with us:
Join a respected, value-driven organization with a long-standing reputation for excellence
Play a pivotal role in shaping the financial strategy and long-term success of the company
Partner with a collaborative executive team committed to innovation, discipline, and growth
Be part of a company that is committed to community engagement and giving back
Benefits:
Competitive executive-level compensation
Generous employee discounts
Comprehensive benefits and a strong retirement program
Opportunities for long-term leadership growth and impact
Apply today to take the next step in your career with one of Southern California's most respected grocery retailers. Gelson's is committed to fostering a professional, inclusive, and respectful workplace. We are an equal opportunity employer and encourage qualified candidates from all backgrounds to apply.
Salary range $189,963 - $215,485
Vice President Finance and Controller
Finance manager job in Newport Beach, CA
Hoag Hospital Foundation
Vice President, Finance and Controller
Hoag Hospital Foundation (HHF) serves as the philanthropic arm of Hoag, one of California's leading not-for-profit health systems recognized for delivering exceptional healthcare and innovation. With an unwavering commitment to advancing Hoag's mission, the Foundation partners with donors, physicians, and the community to secure and steward the resources that sustain and expand Hoag's clinical excellence and patient care.
The Foundation has played a critical role in Hoag's growth and community impact, having successfully supported major capital campaigns that have transformed facilities, programs, and research. The organization is now nearing the close of its current $300 million campaign and preparing to launch an ambitious new campaign projected to exceed $1 billion-an extraordinary milestone in Hoag's history.
Under the leadership of newly appointed President Caroline Pereira, the Foundation is entering a transformative phase focused on modernization, enhanced governance, and expanded impact. This includes elevating financial stewardship, strengthening donor confidence through transparency and compliance, and ensuring Hoag's continued success as a premier healthcare destination in Southern California and beyond.
Vice President, Finance and Controller
The Vice President, Finance & Controller is a newly created executive leadership position that will report directly to Caroline Pereira, President of Hoag Hospital Foundation, and serve as a key member of the Foundation's leadership cabinet.
This pivotal role was established following the retirement of long-tenured Senior Vice President of Finance Geoff McCloskey, as the Foundation strategically bifurcated the position into two new leadership roles-one dedicated to finance and treasury, and another focused on operations.
The VP, Finance & Controller will provide financial oversight, strategic leadership, and operational excellence across all Foundation financial functions, including accounting, finance/treasury, fund administration, and gift services. This leader will serve as a trusted advisor to the President and a liaison to the Foundation's Board of Directors, routinely staffing Finance, Audit, and Investment Committees.
The ideal candidate is a mission-driven, strategic financial leader who brings deep nonprofit and foundation experience, proven technical expertise, and the ability to engage effectively with C-suite executives, board members, and major donors. This is a high-impact opportunity to shape the future of one of California's most respected healthcare foundations during an exciting period of growth and transformation.
Experience/Qualifications
Bachelor's degree in Accounting, Finance, or related field required; Master's degree (MBA or Accountancy) strongly preferred.
Certified Public Accountant (CPA) required; additional certifications (CMA, CGMA, or CIA) preferred.
Minimum of 10 years of progressive accounting and finance experience, including at least 5 years in leadership within a nonprofit or foundation environment; healthcare or hospital foundation experience strongly preferred.
Demonstrated success in financial reporting, audit coordination, fund accounting, budgeting, and strategic planning.
Deep understanding of donor fund accounting, UPMIFA, GAAP, and nonprofit tax standards.
Proven ability to engage confidently with C-suite executives, Board members, and major donors.
Experience managing cross-functional teams and fostering a culture of accountability, growth, and collaboration.
Strong technology proficiency, including CRM and financial systems relevant to nonprofit foundations.
Compensation
For the selected candidate, a complete and competitive compensation package will be offered which includes salary target of $267K-$276K dependent upon experience, bonus, long-term incentives, and a full suite of benefits.
Financial Planning and Analysis Manager
Finance manager job in Corona, CA
Nexbelt is dedicated to designing and building the most beautiful, functional and comfortable belts utilizing our patented ratchet technology. Our unique sizing system helps retailers manage inventory efficiently, and our packaging allows for a clean, clutter-free presentation. At Nexbelt, we believe in revolutionizing the functionality, presentation, and sales of belts.
Responsibilities:
Analyze financial data to identify trends, variances, and opportunities for improvement.
Develop and maintain financial analysis for various departments and projects.
Collaborate across the organization to gather relevant information for financial analysis.
Support the monthly financial reporting and accounting close process, including variance analysis and management reporting.
Prepare ad-hoc financial analyses and reports as needed to support decision-making.
Assist in the preparation of budgets, forecasts, and long-range financial plans.
Partner with the manufacturing department to develop, monitor and track costs and other relevant KPIs.
Continuously improve financial processes and systems to enhance efficiency and accuracy.
Requirements and Skills:
Bachelor's degree in Finance, Accounting, or a related business field.
1-3 years of experience in financial planning and analysis, public accounting, investment banking or a similar role.
Strong financial modeling and analytical skills.
Solid understanding of generally accepted accounting principles and financial statement analysis.
Proficiency in Microsoft Excel and other relevant financial software applications
Excellent communication and interpersonal skills.
Works effectively as team player and alone
Strong attention to detail and problem-solving abilities.
Prefer prior experience working within consumer and manufacturing industry, but not required
Director of Merchandise Financial Planning
Finance manager job in Los Angeles, CA
Director, Merchandise Financial Planning
Sherman Oaks, CA
Careismatic Brands outfits our community of care through our portfolio of market-leading brands that meet the diverse needs of healthcare professionals worldwide. We are one piece of a larger community of those who are and are cared for. Whether it's medical professionals or the patients they serve, we are inspired by those who wear our uniforms every day. We have an outstanding opportunity for a Director, Merchandise Financial Planning to help drive profitable growth across all divisions, channels, and categories. This role will report into the VP, of Financial Planning & Analysis.
This is a full-time hybrid role based in our corporate office in Sherman Oaks, CA.
Salary Range: $140,000 - $150,000 DOE
Physical Demands & Work Environment
The physical demands described here are representative of those that must be met by a Team Member to successfully perform the essential functions for this position. Reasonable accommodations may be made to enable individuals with disabilities to perform the functions.
Hybrid work schedule in office
What Your Day Looks Like
Lead the development of top-down and bottom-up corporate-level financial merchandise plans, including sales, margin, receipts, product lifecycle, and inventory productivity.
Partner with Finance to align merchandise financial plans with corporate budgets, forecasts, and long-range strategic plans.
Provide guidance and targets to demand planners and merchants to ensure alignment between enterprise financial goals and bottom-up assortment and channel strategies.
Drive the open-to-buy (OTB) process at the corporate level, ensuring disciplined inventory management that supports sales growth while optimizing working capital.
Analyze company-wide performance, identifying risks and opportunities, and provide actionable insights to leadership.
Consolidate brand and channel plans to deliver a holistic corporate view; reconcile variances and recommend corrective actions.
Drive SKU-level, attribute-driven product decisions by partnering closely with Merchandising to shape assortment strategy, manage in-season lifecycle actions, and drive brand and collection performance across channels.
Lead analytics-driven pre and post season, through deep product immersion and an omni-channel approach to performance management and optimization
Build forecasting models and scenario planning to evaluate the impact of market shifts, product mix, and promotional strategies on overall performance.
Lead cross-functional meetings with Merchandising, Finance, Supply Chain, and Leadership to ensure alignment on plans and in-season adjustments.
Develop corporate-level reporting, dashboards, and KPIs to track progress against strategic goals.
Provide strategic input into annual and seasonal financial planning cycles, including long-range planning.
What We're Looking For
Bachelor's degree in Finance, Business, Merchandising, or related field; MBA or advanced degree preferred.
7-10+ years of progressive experience in merchandise planning, financial planning, or corporate FP&A
At least 5 years of experience in a corporate environment
Strong financial acumen with proven ability to manage enterprise-level sales, margin, and inventory plans.
Omni-channel merchandise planning experience preferred
Exceptional analytical and strategic thinking skills with the ability to model complex scenarios and simplify insights for executive decision-making.
Advanced Excel and financial planning system expertise.
Excellent leadership, communication, and influencing skills to drive alignment across functions and levels.
Strong business judgment and ability to balance financial discipline with growth opportunities.
Success Measures
Achievement of company-level sales, margin, and inventory productivity targets.
Improved forecast accuracy and consistency across divisions.
Alignment of merchandise financial plans with corporate strategic and financial objectives.
Effective cross-functional collaboration and executive-level influence.
What's In It For You
401(k)
Dental insurance
Employee discount
Flexible spending account
Health insurance
Life insurance
Attractive Paid time off
Vision insurance
At Careismatic Brands, we believe in the power of care. It's the force that drives and inspires us, inside our company and out in the world. It's why we strive to maintain a diverse and inclusive organization - an ever-evolving imperative - where everyone feels respected, valued, and empowered to bring their ideas and perspectives forward.
Careismatic embraces the differences that make our organization unique. We are strengthened by diversity in all its forms - including but not limited to race, religion, ethnicity, age, national origin, gender identity, and sexual orientation.
Senior Financial Analyst
Finance manager job in Long Beach, CA
Our medical services client, in partnership with CV Resources, seeks a talented Senior Financial Analyst to join their Finance and Accounting Team. The Senior Financial Analyst will support a rapidly growing FP&A team and play a key role in budgeting, forecasting, modeling, and performance analytics. This is a highly technical, Excel-driven role ideal for an analytical “up-and-comer” with strong modeling capabilities, comfort with large data sets, and experience supporting multi-location businesses.
You will have the opportunity to report directly to the head of the FP&A department.
Job Title: Senior Financial Analyst (our client will consider talented Financial Analysts)
Location: Long Beach, California
Job Status (direct hire, consulting, consulting with possibility of hire) - This role is a direct hire role.
Job Site Status (onsite/hybrid/remote) - Our client has a hybrid job site status of One Onsite Day per Quarter
Compensation - Salary range is $95,000-$115,000 per year + a bonus component based on individual and company performance.
RESPONSIBILITIES OF THE SENIOR FINANCIAL ANALYST
Financial Planning and Analysis (FP&A) - Budgeting and Forecasting
Develop and maintain monthly and quarterly forecasts, identifying trends, risks, and opportunities.
Perform variance analysis to compare actual results against forecasts and budgets, providing actionable insights.
Support long-range financial planning and scenario modeling to guide strategic business decisions.
Financial Planning and Analysis (FP&A) - Data Analysis
Gather data from diverse sources (ERP, POS, and other platforms)
Integrate data.
Analyze data using Business Intelligence (BI) tools.
Present proposals based on data analysis.
Financial Planning and Analysis (FP&A) - Data Maintenance
Track performance metrics to measure business performance.
Generate ad hoc analysis and financial reporting.
Financial Planning and Analysis (FP&A) - Budgeting and Forecasting
Support long-range financial planning and scenario modeling to guide strategic business decisions by updating data.
Assist the Head of FP&A in leading annual budget, reforecasts, and long-term plans in both corporate and sales and marketing budgets.
Process Improvements
Identify opportunities to streamline financial processes, improving efficiency and reporting accuracy.
Support financial system upgrades and automation initiatives to enhance reporting capabilities.
Ensure internal controls and compliance with financial policies and best practices.
Assist in the development of financial tools and models to support decision-making.
Miscellaneous
Accept all relevant tasks as given by upper management.
QUALIFICATIONS OF THE SENIOR FINANCIAL ANALYST
Required
Bachelor's degree in accounting, finance, or a comparable major.
3+ years of true FP&A experience (financial modeling, budgeting, forecasting, variance analysis)
Proficient understanding of Key Performance Indicators (KPI's)
Multi-site / multi-location industry experience
Preferred
MBA
Experience working in Private Equity-backed environments.
Three (3) statement model experience (income statement, balance sheet, and cash flow statement) into one dynamically connected financial model.
SKILLS OF THE SENIOR FINANCIAL ANALYST
Required
Technical
Advanced Excel
Financial modeling, budgeting, forecasting
Ability to build models entirely from scratch (not just maintain/update)
Large data-set interpretation
Interpersonal
Executive presence.
Superb analytical and critical thinking skills.
Diligence and accuracy.
Impeccable communication skills.
Inquisitive
Preferred
Technical
Power BI or Tableau or Planful or equivalent program
For further information, submit your resume to Mark@CVRStaffing.com. All inquiries will be kept in the strictest confidence.
VP, Financial Consultant- Mission Viejo, CA (Hiring Immediately)
Finance manager job in Mission Viejo, CA
Regular
Your opportunity
At Schwab, youre empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us challenge the status quo and transform the finance industry together.
Schwabs branch team is at the heart of our firms commitment tohelping clients own their financial futures. In this exciting role, youllgive clients financial guidance while forming lasting relationshipsbuilt on trust, respect, and reaching a common goal. Youll alsohavethe ability totake charge of your own professional journey with oursupportive, nurturing culture and diverse set of career opportunities.
As a Financial Consultant at Schwab, you will be procured with the practice of existing Schwab clients, providing them with wealth management and financial planning advice. Over time, youll grow your practice holistically through client asset consolidation, networking, and earning client referrals. If you currently have your securities license, enjoy working in a teamsetting, and share our passion for serving clients - this role is for you.
What you have
Required Qualifications:
A valid and active FINRA Series 7 license required
Obtaining or acquiring FINRA Series 66 (63/65) license and Life & Health Insurance as it will be required during your tenure on the job.
Preferred Qualifications:
Ability to build strong relationships, engage and encourage trust, and deepen the client relationship by applying a focused client communication strategy, and exceeding client expectations.
Strong candidates will also learn to leverage our team of Schwab specialists, Schwab advice guidelines, your knowledge of the markets, and your ability to inspire action to help your clients progress toward achieving their goals.
Openness to manage wealth on behalf of our clients including: Retirement Planning, Education Planning, Investment Management, Banking & Lending Management, Insurance & Risk Management, and Estate Planning
Ability to adapt and implement change as the market and business conditions evolve
Passion for community engagement to share and engage clients in discussion about market conditions, sound investing principles, and the ideal wealth and long-term investment strategies for their personal situation
Desire to provide an outstanding investor experience in additional to furthering your own professional development in Wealth Management.
Whats in it for you:
At Schwab, were committed to empowering our employees personal and professional success. Our flexible work options, supportive culture, and focus on your development means youll get the tools you need to make a positive difference in the finance industry.
We offer a competitive benefits package that takes care of the whole you both today and in the future:
Base salary
401(k) with company match and Employee stock purchase plan
Paid time for vacation, volunteering, and a 4-week sabbatical after 5 years of service
Paid parental leave and family building benefits
Tuition reimbursement
Health, dental, and vision insurance
Investment Professionals' Compensation | Charles Schwab
Pursuant to SAFE Act requirements, all employees engaged in residential loan mortgage originations must register with the NMLS registry system and remain in good standing. You will be required to register and to submit to the required SAFE Act background check and registration process
In addition to the salary range, this role is also eligible for bonus or incentive opportunities.
Whats in it for you
At Schwab, youre empowered to shape your future. We champion your growth through meaningful work, continuous learning, and a culture of trust and collaborationso you can build the skills to make a lasting impact.
We offer a competitive benefits package that takes care of the whole you both today and in the future:
401(k) with company match and Employee stock purchase plan
Paid time for vacation, volunteering, and 28-day sabbatical after every 5 years of service for eligible positions
Paid parental leave and family building benefits
Tuition reimbursement
Health, dental, and vision insurance
Senior Financial Analyst, Asset Mgmt.
Finance manager job in Santa Monica, CA
RETS Associates, on behalf of our client, a fully integrated real estate investment and asset management firm, is seeking a Senior Financial Analyst/Associate Asset Management in Santa Monica, CA. They invest and manage assets across the real estate capital structure, including properties, loans, and securities, with a mission to create long-term value for investors and sustain results across market cycles.
RESPONSIBILITIES:
Build and maintain financial, valuation, and sensitivity models for real estate assets and debt investments, utilizing Excel and Argus to determine NPV and IRR.
Direct preparation of quarterly business plans, including leasing strategies, operating budgets, capital improvement plans, and monetization strategies.
Model strategic hold/sell recommendations and assist with asset disposition processes.
Oversee business plan execution, working with joint venture partners, leasing teams, and property managers to ensure performance aligns with objectives.
Assist in preparing quarterly reports, valuations, and capital improvement strategies, including vendor selection and contract negotiations.
Provide periodic reporting for senior management, joint venture partners, lenders, and investor relations.
Support due diligence efforts on potential acquisitions, including legal, financial, and physical reviews.
REQUIREMENTS:
Bachelor's Degree from an accredited four-year university.
2-4 years of experience in institutional real estate asset management or acquisitions.
Strong analytical background in commercial real estate (multifamily, office, retail, mixed-use) across acquisitions, asset/portfolio management, or real estate finance.
Advanced financial modeling and forecasting skills with the ability to generate actionable insights.
Knowledge of key construction and development processes.
Ability to manage multiple priorities in a fast-paced environment.
Strong communication and organizational skills for presenting analyses and recommendations.
Proficiency in Excel, Word, PowerPoint, and Argus.
Client offers a strong benefit package (medical, dental and vision insurance, 401k, disability and life insurance).
Financial Analyst
Finance manager job in Los Angeles, CA
Omninet Capital is seeking a highly motivated Financial Analyst to join the team in Beverly Hills. This is a hands-on, entry-level opportunity suited for an individual who is analytical, detail-oriented, and passionate about real estate finance. The Financial Analyst will support the acquisitions, asset management, and development teams by building financial models, conducting entitlement reviews, and performing market and investment analysis.
This is a great opportunity for someone eager to grow their career in real estate with exposure to high-volume deal flow and cross-functional teams.
Key Responsibilities
Develop and maintain detailed Excel-based financial models for underwriting and investment analysis
Analyze market trends, rent comps, and deal performance across multifamily and commercial assets
Prepare investment memos and assist with internal presentations to senior leadership
Conduct due diligence reviews including lease audits, financial statements, and market research
Collaborate with acquisitions, construction, and asset management teams throughout the deal cycle and external parties like banks, brokers
Monitor key financial metrics including IRR, equity multiple, and cash-on-cash returns
Qualifications
Bachelor's degree in Finance, Real Estate, Economics, Accounting, or a related field
1+ years of experience in financial analysis, real estate, or investment environments
Strong proficiency in Microsoft Excel must be comfortable building and auditing complex models
Exceptional attention to detail, analytical thinking, and organizational skills
Understanding of real estate financial metrics, entitlements, and valuation principles
Strong written and verbal communication skills
Familiarity with real estate platforms such as CoStar, Yardi, Argus, or similar tools is a plus
Omninet Capital, LLC is an Equal Opportunity Employer and is committed to maintaining a workplace free from discrimination and harassment. We recruit, employ, train, compensate, and promote without regard to race, color, religion, creed, sex (including pregnancy, childbirth, breastfeeding, or related medical conditions), gender, gender identity, gender expression, sexual orientation, national origin, ancestry, age, physical or mental disability, medical condition, genetic information, marital status, veteran or military status, or any other status protected by applicable federal, state, or local laws.
All employment decisions are based on qualifications, merit, and business needs. Omninet complies with all applicable state and local fair employment practices laws, including the California Fair Employment and Housing Act (FEHA).
Head of Treasury
Finance manager job in Los Angeles, CA
GHJ Search and Staffing serves as the recruitment division of GHJ, a prominent national accounting and advisory firm. Our team provides qualified Accounting and Finance professionals on a temporary and permanent basis across a broad range of industries. GHJ's relationship with our Global Advisory and Accounting Network provides the resources needed to better understand client's needs, attract a higher caliber of candidates and assess candidate potential.
Overview
A rapidly growing private credit investment platform specializing in real estate debt is seeking an experienced Head of Treasury to lead all aspects of liquidity management, funding strategy, and treasury operations. This strategic role will oversee capital efficiency across multiple fund structures and debt facilities while collaborating with senior leadership to optimize financial performance and operational execution.
Key Responsibilities
* Develop and manage enterprise-wide liquidity planning and cash forecasting frameworks.
* Oversee treasury execution across multiple warehouse lines, securitizations, and fund structures.
* Optimize capital utilization and funding efficiency across institutional and retail investment vehicles.
* Maintain and strengthen relationships with banking partners, warehouse lenders, and other financing counterparties.
* Support negotiation of terms for credit facilities, cash management, and treasury services in collaboration with executive leadership.
* Enhance treasury reporting and dashboards, leveraging analytics tools such as Power BI for real-time visibility.
* Drive process improvement and automation initiatives within treasury operations, including integration with general ledger systems.
* Lead, mentor, and develop the treasury team to ensure operational excellence and professional growth.
* Collaborate with Capital Markets, Finance, Accounting, and Operations teams to align funding activities with overall business strategy.
* Prepare and present liquidity insights, stress-testing analyses, and funding strategies to senior management.
Qualifications
* Minimum of 10 years of progressive experience in treasury or fund finance, ideally within private credit, real estate finance, or structured finance environments.
* Deep understanding of warehouse facilities, cash forecasting, and debt covenant management.
* Experience managing complex multi-fund or multi-entity structures with varying investor capital flows.
* Proven leadership skills with the ability to mentor and develop teams.
* Strong analytical, strategic, and communication skills with a proactive, ownership-driven mindset.
* Familiarity with treasury management technologies, automation tools, and data visualization platforms preferred.
Compensation & Benefits
* Base salary up to $200,000, commensurate with experience.
* Annual discretionary performance bonus.
* Comprehensive benefits package including medical, dental, and vision coverage.
* 401(k) plan with Safe Harbor match.
* Paid time off and vacation benefits.
$180,000 - $200,000 a year
#GHJSS #LI-MC1
Treasury Manager 1225
Finance manager job in Irvine, CA
Overview of the Role
This leadership position oversees enterprise treasury functions, including cash operations, short-term financing, liquidity management, and payment activity. The role is responsible for maintaining strong financial controls, optimizing cash usage, and ensuring treasury practices align with organizational objectives.
The individual in this role evaluates treasury-related products, banking services, systems, and technologies to ensure they meet operational needs. Responsibilities include guiding cash management initiatives, overseeing bank relationships, and maintaining treasury policies used across the organization. The role also contributes to financial planning by preparing cash flow projections and supporting broader financial forecasting efforts.
Key Responsibilities Priority One - 35%
Direct daily cash, liquidity, and debt activities.
Establish and manage short-term investment positions.
Oversee treasury-related financial risk and exposure.
Manage and negotiate relationships with banks, brokers, and financial partners.
Invest surplus funds in accordance with approved strategies.
Coordinate electronic transaction and settlement processes.
Oversee documentary acceptance-related obligations and liabilities.
Priority Two - 25%
Lead cash flow forecasting and liquidity planning.
Prepare and maintain short- and medium-term cash projections.
Design and implement cash management strategies and operating models.
Monitor and manage interest rate risk.
Support development and optimization of banking relationships.
Identify opportunities to reduce costs and improve returns.
Priority Three - 20%
Oversee reconciliation of payment and settlement programs.
Partner with internal teams to support operational needs and resolve discrepancies.
Priority Four - 20%
Reconcile general ledger and treasury-related accounts.
Analyze sub-ledger activity for accuracy and completeness.
Collaborate with accounting, accounts payable, and business teams to ensure timely processing and reporting of expenses.
Maintain strong financial controls and ensure compliance with internal policies.
Support internal teams in understanding finance and treasury processes.
Responsibilities may be adjusted based on business requirements.
Day-to-Day Activities
Monitor and manage daily cash positions and liquidity.
Produce daily, weekly, and monthly cash position and forecast reports for finance leadership.
Develop and maintain treasury policies, procedures, and internal controls aligned with enterprise standards.
Track and manage documentary acceptance collections and related payment schedules.
Perform follow-up analysis on treasury and finance initiatives.
Ensure treasury operations adhere to established financial controls and policies.
Qualifications Education
Bachelor's degree in finance, accounting, or business required
Master's degree preferred
Treasury certification (e.g., CTP) preferred
Experience Requirements
10+ years of experience in corporate treasury, financial management, or investment-related roles.
Prior people or function leadership experience.
Background in banking, investments, or capital markets required.
Experience within large, complex organizations preferred.
Hands-on experience with enterprise financial systems; modern ERP platforms required.
Skills & Competencies
Strong written and verbal communication skills.
Proven ability to collaborate effectively across departments.
Highly detail-oriented with strong follow-through.
Proficient in ERP systems and Microsoft Office tools.
Ability to evaluate risk, analyze financial data, and make informed decisions independently.
Additional Information
Role is primarily office-based with extended periods of computer work.
No routine travel required.
Requires ability to manage multiple priorities, maintain confidentiality, and perform detailed analytical work in a fast-paced environment.
Must demonstrate composure, adaptability, and sound judgment under time constraints.
Other responsibilities may be assigned as business needs evolve.
Treasury Manager
Finance manager job in Torrance, CA
** 9 time INC 500/5000, 9 time BBJ "Pacesetter ", 5 time SIA-fastest growing** ___________________________________________________________ Kashif Meraj | TalentBurst, Inc. Boston | San Francisco | Miami | Milwaukee | Toronto | New Delhi | Bangalore
Work: **************
575 Market Street, Suite 3025 | San Francisco, CA 94105 | *******************
Certified Minority Business Enterprise (MBE)
Job Description
Dear Candidate,
Hope you're doing great today.
My name is Kashif Meraj and I'm a Senior Technical Recruiter with TalentBurst, Inc. and currently looking to fill a contract assignment with my DIRECT Client. I was hoping you or someone you know may be interested in this opening. If this message has reached you in error, please accept my apologies in advance for any inconvenience, and welcome you to visit our website http://*******************/ for other jobs that might be of interest to you.
Please see below for the relevant information regarding this job and send me your updated resume in a word format:
Job ID#351587
Title: Treasury Manager - Valuation & Governance
Position Type: 6+ Months Contract with my direct client (great possibility of further extension)
Location: Torrance, CA, United States
Description:
Position Summary:
The Treasury Manager, Valuations direct CLIENT Balance Sheet Fair Value practice for the debt and derivatives ($150 Billion), finance receivables ($60 Billion), and investments portfolio ($5B) for FAS 133 and FAS 157. Develop industry leading Balance Sheet valuation (Loan, Debt and Derivative portfolio) practice. Responsible for governance and process/system controls, internal system/model and professional competency and effective controls for financial statement disclosures and counterparty credit risk. Key governance and risk management role that directly impacts CLIENT enterprise Balance Sheet value, financial statement and disclosure filings, counterparty credit risk profile.
Major Duties and Responsibilities:
40% Valuations Governance, Compliance, Internal controls
• Review business and/or regulatory changes and accounting policies that may impact valuations and valuation processes.
• Responsible for governance of valuation policy, procedures, thresholds, SOX controls and processes, including review of 10K &10Q disclosures related to all fair value items.
• Accountable for current operations and projects as well as implementing strategic change towards the desired valuation practice competency at CLIENT.
35%: Valuations (Debt and Derivatives)
• Manage the valuation process, tools and methodologies for debt and derivatives using WSS, Numerix and Bloomberg for initial valuation, month-end and quarterly close. Review all valuations to ensure reasonability and accuracy of marks used for the financial statements.
• Manage Counterparty Credit risk, collateral exchanges and Collateral Service agreement (CSA).
• Provide guidance with respect to regulatory and parent company reporting related to FAS 133 compliance, volatility management, risk analytics reporting and portfolio. Manage FAS 133 forecasting on CLIENT's books based on the future expected change in market rates.
25%: Asset Valuation (FAS 157/159)
• Manage valuation process for finance receivables, asset securitization, as well as other asset categories including wholesale, real estate and commercial loans.
• Validate quarterly valuation of finance receivables for accuracy and reasonability.
Requirements:
Experience:
• Minimum of 6-8+ years of relevant financial services experience; Audit or Financial Consulting, Corporate/Bank Risk Management or Controllership
• Demonstrated ability to effectively manage governance and internal control framework, projects and group.
• Exposure to financial products/instruments, valuation/trading and/or financial statement reporting/disclosure standards related to Fair Value.
• Familiarity with valuating different types of financial instruments and derivatives.
• Exposure to complex financial and/or valuations system/modeling for large/complex debt/derivative portfolio a plus.
• Experience with asset valuations models, including ABS and other discounted cash flows based models.
• Knowledge of complex financial systems a plus (Treasury, Accounting etc)
• Effective communication with internal and external stakeholders (counterparties, vendors, auditors, etc.).
Educational:
• Bachelor of Science in Accounting/Finance, Computer Science, Math or equivalent
• CPA preferred: CFA or alternate designation a plus
• Post Graduate degree (MBA, M.S Finance or Accounting, Financial Engineering) preferred
• If no CPA, should have MBA degree
Special Skills/Knowledge:
• Experience with the valuation of highly structured debt and derivative instruments (using tools such as WSS, Numerix, Bloomberg valuations, Fincad etc.).
• Knowledge of valuation tools and methodologies available in the market for debt/derivatives and asset valuations. Strong quantitative and analytical skills
Technical Requirements:
• MS Office (Advanced Excel - pivot tables, v-lookups, etc.)
• Treasury Management System experience: Wallstreet Suite or similar highly preferred
• Market Data providers: Bloomberg, Reuters, MarkIt, etc. highly preferred
• Knowledge of SQL, VBA, .net a plus
Thank you for your time and attention to this email!
Looking forward to your response.
Regards,
Kashif Meraj
** 9 time INC 500/5000, 9 time BBJ "Pacesetter ", 5 time SIA-fastest growing**
___________________________________________________________
Kashif Meraj | TalentBurst, Inc.
Boston | San Francisco | Miami | Milwaukee | Toronto | New Delhi | Bangalore
Work: **************| Fax: ************** | Email: ***********************************
575 Market Street, Suite 3025 | San Francisco, CA 94105 | *******************
Certified Minority Business Enterprise (MBE)
Additional Information
Please reach me for further query or drop your updated resume at ***********************************
Easy ApplyManager, Fixed Income Operations
Finance manager job in Newport Beach, CA
Providing for loved ones, planning rewarding retirements, saving enough for whatever lies ahead - our policyholders count on us to be there when it matters most. It's a big ask, but it's one that we have the power to deliver when we work together. We collaborate and innovate - pushing one another to transform not just Pacific Life, but the entire industry for the better. Why? Because it's the right thing to do. Pacific Life is more than a job, it's a career with purpose. It's a career where you have the support, balance, and resources to make a positive impact on the future - including your own.
We're actively seeking a talented Manager, Fixed Income Operations to join our Investment Operations team in Newport Beach, CA.
As a Manager of Fixed Income Operations, you'll play a key role in Pacific Life's growth and long-term success by overseeing a team responsible for the seamless settlement, processing, and reconciliation of trades across a wide range of fixed income securities. You will lead efforts to ensure operational excellence, mitigate risk, and drive strategic initiatives and process improvements across the investment lifecycle.
How You'll Help Move Us Forward
Manage a team of professionals, providing mentorship, coaching, and performance oversight.
Adapt team priorities and plans to address service and operational challenges
Provide operational guidance to employees and stakeholders across business areas.
Oversee trade lifecycle processes: trade matching, confirmation, exception resolution, and settlement.
Coordinate with broker-dealers, custodians, agents, legal counsel, and internal teams to ensure timely and accurate trade settlement.
Lead asset transitions.
Oversee team's Trade and Security Master reconciliations.
Collaborate with front office teams (traders, credit analysts) to resolve trade-related issues.
Partner with Accounting, Compliance, and Audit teams to uphold internal controls and best practices.
The Experience You Bring:
7+ years of experience in fixed income investment operations or middle office roles within asset management, hedge funds, or investment banking.
Minimum of 4 years leading a team.
Bachelor's degree in Finance, Accounting, or equivalent work experience.
In-depth understanding of investment operations, trading workflows, and regulatory requirements. Expertise across asset classes including ABS, Corps, CLOs
Creative problem-solving mindset and ability to think critically.
Excellent verbal and written communication skills.
Self-motivated, organized, and capable of managing multiple priorities with minimal supervision.
Technological fluency to effectively communicate with IT teams regarding system issues and enhancements.
Proficiency in: Bloomberg, Excel, Business Objects, Power BI, ePAM, MS Office Suite
You can be who you are.
People come first here. We're committed to an inclusive workforce. Learn more about how we create a welcoming work environment at ******************** What's life like at Pacific Life? Visit Instagram.com/lifeatpacificlife.
#LI-AJ1
Base Pay Range:
The base pay range noted represents the company's good faith minimum and maximum range for this role at the time of posting. The actual compensation offered to a candidate will be dependent upon several factors, including but not limited to experience, qualifications and geographic location. Also, most employees are eligible for additional incentive pay.
$148,230.00 - $181,170.00
Your Benefits Start Day 1
Your wellbeing is important to Pacific Life, and we're committed to providing you with flexible benefits that you can tailor to meet your needs. Whether you are focusing on your physical, financial, emotional, or social wellbeing, we've got you covered.
Prioritization of your health and well-being including Medical, Dental, Vision, and Wellbeing Reimbursement Account that can be used on yourself or your eligible dependents
Generous paid time off options including: Paid Time Off, Holiday Schedules, and Financial Planning Time Off
Paid Parental Leave as well as an Adoption Assistance Program
Competitive 401k savings plan with company match and an additional contribution regardless of participation
EEO Statement:
Pacific Life Insurance Company is an Equal Opportunity /Affirmative Action Employer, M/F/D/V. If you are a qualified individual with a disability or a disabled veteran, you have the right to request an accommodation if you are unable or limited in your ability to use or access our career center as a result of your disability. To request an accommodation, contact a Human Resources Representative at Pacific Life Insurance Company.
Auto-Apply[WEBTOON] Corporate Finance/PMO Finance Support (Independent Contractor)
Finance manager job in Los Angeles, CA
WEBTOON Entertainment is a leading global entertainment company and home to some of the world's largest storytelling platforms. As the global leader and pioneer of the mobile webcomic format, WEBTOON Entertainment has transformed comics and visual storytelling for fans and creators.
With its CANVAS UGC platform empowering anyone to become a creator, and a growing roster of superstar WEBTOON Originals creators and series, WEBTOON Entertainment's passionate fandoms are the new face of pop culture. WEBTOON Entertainment adaptations are available on Netflix, Prime Video, Crunchyroll, and other screens around the world, and the company's content partners include Discord, HYBE and DC Comics, among many others.
The Finance team is seeking an independent contractor to provide critical support during quarterly earnings release periods, when workloads increase significantly. The role focuses on gathering and validating financial data from the FP&A and Accounting teams, as well as supporting investor relations deliverables. The contractor will assist in reviewing and refining presentations, ensuring data accuracy, and improving communication materials for quarterly disclosures.
This role is especially important to ensuring timely, accurate, and effective financial reporting to the market-a critical element in supporting investor confidence and stock price management.Key Responsibilities
Support the Finance team during quarterly earnings release cycles by validating financial data and ensuring accuracy of deliverables.
Partner with FP&A and Accounting teams to gather, double-check, and reconcile financial data used for investor relations reporting.
Review, refine, and improve PowerPoint presentations and related materials for earnings calls and disclosures.
Ensure database updates and data transition processes are accurate and investor-ready.
Communicate effectively across teams to support timely completion of financial deliverables.
Provide ad hoc support to Corporate Finance and Investor Relations as needed.
Potentially assist in light budget management and coordination with external vendors.
Requirements:
Minimum of 5 years' corporate finance or related experience in a public company environment.
Bilingual - Korean/English
Strong proficiency in Microsoft Office Suite (Excel, PowerPoint, Word).
Excellent communication and collaboration skills.
Ability to work under tight deadlines with a high level of accuracy.
Solid understanding of basic financial concepts, public company reporting requirements, and quarterly disclosure processes.
Bachelor's degree in finance, Accounting, Business, or related field required.
Preferred Qualifications:
Experience supporting Nasdaq-listed companies or other public companies.
Prior exposure to investor relations or earnings release processes.
Strong attention to detail with a proactive, problem-solving mindset.
Ability to adapt quickly and add value in a fast-paced team environment.
With approximately 155 million monthly active users, WEBTOON Entertainment's IP & Creator Ecosystem of aligned brands and platforms include WEBTOON, Wattpad--the world's leading webnovel platform--WEBTOON Productions, Studio N, Studio LICO, WEBTOON Unscrolled, LINE MANGA, and eBookJapan, among others.
Join us and work with some of the biggest artists, IP, and fandoms in comics!#WEBTOON
Auto-ApplyFinancial Analyst - Corporate Development
Finance manager job in Redlands, CA
The Financial Analyst position on our corporate development team in Accounting and Finance is responsible for monitoring and coordinating activities associated with our international distribution network. Activities include measuring performance against plans, producing and presenting informational reporting pertinent to the business, assisting in all aspects of valuation and financial analysis in support of acquisition and divestiture transactions, and assisting in due diligence efforts in support of corporate development needs.
Join the team fully onsite at our stunning campus in Redlands, CA.
Responsibilities
Monitor and analyze the performance of current investments which includes preparing regular reports on the financial health and performance of the portfolio and identifying areas for improvement or divestment based on financial analysis
Prepare presentations, reports, and documentation for department and corporate management
Assist in conducting due diligence for potential acquisitions and investments, including financial, legal, and operational aspects through effective collaboration with participating members of the cross-functional teams
Coordinate and perform activities related to drafting contract language, renewing agreements, fulfilling contractual commitments, and monitoring general business obligations and requirements
Understand business objectives and issues and conduct insightful, fact-based analysis to help solve complex problems
Maintain and update systems used to track acquisition activity and key information
Requirements
2+ years of prior experience or relevant experience
Experience with budgeting and planning methodologies and tools
Advanced Microsoft Excel skills, including XLOOKUPS and pivot tables
High level of attention to detail, excellent organizational skills and ability to prioritize demands and meet deadlines
Familiarity with accounting financial statements
Ability to work independently
Analytical and problem-solving skills
Visa sponsorship is not available for this posting. Applicants must be authorized to work for any employer in the US
Bachelor's in Accounting, Finance, or in a related field
Recommended Qualifications
Experience working with SAP or other large ERP systems
Experience working with advanced reporting tools such as Power BI
Familiar with SQL and relational databases
#LI-Onsite
#LI-JH2
Auto-Apply[WEBTOON] Corporate Finance/PMO Finance Support (Independent Contractor)
Finance manager job in Los Angeles, CA
Job DescriptionWEBTOON Entertainment is a leading global entertainment company and home to some of the world's largest storytelling platforms. As the global leader and pioneer of the mobile webcomic format, WEBTOON Entertainment has transformed comics and visual storytelling for fans and creators.
With its CANVAS UGC platform empowering anyone to become a creator, and a growing roster of superstar WEBTOON Originals creators and series, WEBTOON Entertainment's passionate fandoms are the new face of pop culture. WEBTOON Entertainment adaptations are available on Netflix, Prime Video, Crunchyroll, and other screens around the world, and the company's content partners include Discord, HYBE and DC Comics, among many others.
The Finance team is seeking an independent contractor to provide critical support during quarterly earnings release periods, when workloads increase significantly. The role focuses on gathering and validating financial data from the FP&A and Accounting teams, as well as supporting investor relations deliverables. The contractor will assist in reviewing and refining presentations, ensuring data accuracy, and improving communication materials for quarterly disclosures.
This role is especially important to ensuring timely, accurate, and effective financial reporting to the market-a critical element in supporting investor confidence and stock price management.Key Responsibilities
Support the Finance team during quarterly earnings release cycles by validating financial data and ensuring accuracy of deliverables.
Partner with FP&A and Accounting teams to gather, double-check, and reconcile financial data used for investor relations reporting.
Review, refine, and improve PowerPoint presentations and related materials for earnings calls and disclosures.
Ensure database updates and data transition processes are accurate and investor-ready.
Communicate effectively across teams to support timely completion of financial deliverables.
Provide ad hoc support to Corporate Finance and Investor Relations as needed.
Potentially assist in light budget management and coordination with external vendors.
Requirements:
Minimum of 5 years' corporate finance or related experience in a public company environment.
Bilingual - Korean/English
Strong proficiency in Microsoft Office Suite (Excel, PowerPoint, Word).
Excellent communication and collaboration skills.
Ability to work under tight deadlines with a high level of accuracy.
Solid understanding of basic financial concepts, public company reporting requirements, and quarterly disclosure processes.
Bachelor's degree in finance, Accounting, Business, or related field required.
Preferred Qualifications:
Experience supporting Nasdaq-listed companies or other public companies.
Prior exposure to investor relations or earnings release processes.
Strong attention to detail with a proactive, problem-solving mindset.
Ability to adapt quickly and add value in a fast-paced team environment.
With approximately 155 million monthly active users, WEBTOON Entertainment's IP & Creator Ecosystem of aligned brands and platforms include WEBTOON, Wattpad--the world's leading webnovel platform--WEBTOON Productions, Studio N, Studio LICO, WEBTOON Unscrolled, LINE MANGA, and eBookJapan, among others.
Join us and work with some of the biggest artists, IP, and fandoms in comics!#WEBTOON
We may use artificial intelligence (AI) tools to support parts of the hiring process, such as reviewing applications, analyzing resumes, or assessing responses. These tools assist our recruitment team but do not replace human judgment. Final hiring decisions are ultimately made by humans. If you would like more information about how your data is processed, please contact us.
Corporate and Private Side FX Sales - Analyst
Finance manager job in Los Angeles, CA
The Corporate & Investment Bank is a global leader across investment banking, wholesale payments, markets and securities services. The world's most important corporations, governments and institutions entrust us with their business in more than 100 countries. We provide strategic guidance, raise capital, manage risk and extend liquidity in markets around the world. Clients turn to our industry-leading Markets, Sales and Research team to offer clients unique market insights on sectors and companies, and actionable ideas using research to make well-informed investment decisions. Teams understand products across asset classes and help clients structure solutions that manage risk, enhance yield and solve complex financial problems.
As an FX Sales Analyst, you will be responsible for maintaining and developing key client relationships, including day-to-day execution of all FX products we are responsible for distributing. You will need the ability to be fluent in the mechanics of these products to effectively navigate among a broad range of clients and provide them with idea generation and market insights. In addition, you will bring a collaborative approach working with our business partners in Trading, Research, Investment Banking, Legal, Credit, Treasury and colleagues across Corporate Derivatives Marketing (CDM) including Rates, Commodities and Equity Derivatives to provide comprehensive coverage across the platform.
Job Responsibilities
Model, structure, and market foreign exchange products to corporate clients
Price and execute live foreign exchange spot, forward, and option trades
Track FX market activity and JPM Research, while being able to update clients on market developments and prepare written commentary
Collaborate on analytical work and presentation materials for discussions with clients on currency risk management
Present hedging solutions to new clients and prospects
Work with broader client coverage team including banking, treasury services, and credit to address client needs and educate teams internally on foreign exchange
Work with trading, middle and back-office functions to support client trading activity
Operate as part of a team, collaborating across offices and resources
Effectively execute and organize onboarding of new clients, review data analytics around client opportunities, and follow up on new business
Required qualifications, capabilities, and skills
1+ year of experience in FX
Strong time management, prioritization, and multi-tasking abilities to navigate live transactions and daily tasks. Ability to work in a high volume, fast paced environment and be able to absorb information quickly and accurately with extreme attention to detail
Ability to develop and manage client relationships
A desire to succeed individually and be a member of a winning team. Solid team player that partners well with stakeholders across the platform including Research and Trading
Critical thinker and problem solver. Clear, logical, solution-oriented approach to challenges with a strong qualitative skill set including effective communication and presentation. Confident presentation skills as well as strong oral and written communication skills, including the ability to translate complex financial concepts into simple language and concrete action steps
Ability to pursue analytical project work with a view assisting clients with their risk management programs
Strong understanding of fundamental product knowledge and market structure
Proficiency in Bloomberg, Microsoft Excel, Word and PowerPoint
FEDERAL DEPOSIT INSURANCE ACT:
This position is subject to Section 19 of the Federal Deposit Insurance Act. As such, an employment offer for this position is contingent on JPMorganChase's review of criminal conviction history, including pretrial diversions or program entries.
Auto-ApplyCorporate Finance Analyst, Capital Markets
Finance manager job in Gardena, CA
The Company:
Faraday Future (FF) is a California-based mobility company, leveraging the latest technologies and world's best talent to realize exciting new possibilities in mobility. We're producing user-centric, technology-first vehicles to establish new paradigms in human-vehicle interaction. We're not just seeking to change how our cars work - we're seeking to change the way we drive. At FF, we're creating something new, something connected, and something with a true global impact.
Your Role:
The Corporate Finance Analyst of Capital Markets is responsible for supporting and managing full cycle execution across equity and debt financing transactions, equity and debt investor engagement, and public market communications. This role serves as a key liaison between the company and the institutional investors, ensuring clear, consistent, and transparent messaging on the company's financial performance, strategic initiatives, and long-term vision. The role combines capital markets execution capabilities with investor-facing communication, regulatory compliance, and cross-functional coordination with legal, finance, and executive teams.
Responsibilities:
Capital Markets Execution:
Support operational execution of equity and debt financings, and structured capital raises.
Collaborate with internal finance and legal teams to review deal documents, support terms negotiations, and maintain compliance with SEC and Nasdaq requirements.
Manage closing deliverables and post-deal investor transactions; serve as one of the primary interfaces with investors to ensure smooth and timely execution.
Track and maintain detailed financing schedules and documentation.
Maintain relationships and ongoing engagement with investment banks.
Investor Relations:
Prepare, update, and refine investor communications including earnings scripts, investor presentations, and press releases.
Support ongoing engagement with sell-side analysts, conference organizers, and research partners; ensure timely delivery of all related materials and logistics.
Coordinate with internal stakeholders to ensure IR messaging aligns with financial reporting, Company's strategic goals and recent developments.
Monitor and analyze stock performance, trading activity, and market sentiment.
Maintain and regularly update the investor relations (IR) website.
Regulatory & Compliance Support:
Work closely with external legal in drafting and reviewing public filings (10-K, 10-Q, 8-K, S-1, S-3, Pre-14A, Def-14A) related to capital markets financing activities disclosures. Ensure consistency and alignment of messaging across all filings.
Coordinate with external legal counsel, auditors, and investors to manage the end-to-end filing process, including securing necessary consents and ensuring timely and accurate submissions.
Cross-Functional Leadership:
Serve as the central point of contact for capital markets and IR initiatives across legal, finance, and corporate communications teams.
Support special projects such as PIPEs, shelf registration planning, strategic shareholder targeting, and IR website enhancements.
Contribute to long-term capital planning and financial strategy development in partnership with the executive team.
Basic Qualifications:
Bachelor's degree in Finance, Accounting, Business, or related field.
2+ years of experience in capital markets, investor relations, investment banking, or corporate finance.
Proven experience executing debt and equity financing transactions and managing investor-facing communications.
Strong understanding of SEC filings, public company reporting, and capital structure mechanics.
Exceptional attention to detail, communication skills, and ability to manage multiple workstreams under tight deadlines.
Proficiency in financial modeling, PowerPoint, and equity market tools (e.g., Bloomberg, Capital IQ, EDGAR).
A creative curiosity, collaborative ethic, hardworking enthusiasm, and driving personal vision
Excellent communication skills and team-working tendencies
A penchant for multi-tasking and self-starting
Preferred Qualifications:
CPA, CFA, or MBA preferred.
Annual Salary Range:
($85K-$95K DOE), plus benefits and incentive plans
Perks + Benefits
Healthcare + dental + vision benefits (Free for you/discounted for family)
401(k) options
Relocation assistance + reimbursement
Casual dress code + relaxed work environment
Culturally diverse, progressive atmosphere
Faraday Future is an equal opportunity employer and does not discriminate on the basis of race, national origin, gender, gender identity, sexual orientation, protected veteran status, disability, age, or other legally protected status.
Auto-ApplyCorporate Partnerships Analyst
Finance manager job in Anaheim, CA
A great experience starts with you!
Honda Center welcomes fans, performers, and athletes from around the globe. Our team members are an integral part of the event experience through their interactions with guests. Whether you're looking to create a great guest experience at a concert, support business growth and development, work behind-the-scenes during an Anaheim Ducks game, or anything in-between, this is your opportunity to start the next chapter of your career story and help create a one-of-a-kind fan experience at Honda Center.
Once you've had a chance to explore our current open positions, apply to the ones you feel best suit you, as an applicant, you can always see your application status in your profile.
Job Title:Corporate Partnerships Analyst
Pay Details:
The annual base salary range for this position in California is $69,000 to $75,000 per year. The starting pay for the successful candidate depends on various job-related factors, including but not limited to the candidate's geographic location, job-related knowledge, skills, experience, education/training, internal value, peer equity, external market demands, and organizational considerations.
The Corporate Partnerships Analyst will play a key role in supporting data-driven decision-making and strategic planning for the Corporate Partnerships team. This role is responsible for analyzing partnership performance, supporting sponsorship valuation, developing sales and renewal strategies, and identifying opportunities to maximize partner ROI. The ideal candidate has a passion for data, strong business acumen, and a collaborative mindset to help drive meaningful insights that support revenue growth and partner success.
Responsibilities
Support the development and execution of partnership strategy through data analysis, reporting, and insights
Collaborate with sales and activation teams to evaluate partnership performance and identify optimization opportunities
Assist in the valuation of sponsorship assets using third-party tools and internal benchmarks
Develop custom reporting dashboards and presentations for internal and external stakeholders
Conduct market research and benchmarking to identify industry trends, competitive intelligence, and partnership best practices
Analyze digital, social media, and experiential campaign performance to support storytelling and ROI narratives for partners
Assist in the creation of pitch decks, recap reports, and business cases to support new business and renewal opportunities
Maintain accurate and organized data using CRM systems and analytics platforms
Partner with Finance and Business Intelligence teams to align partnership data with broader business goals
Qualifications
Bachelor's degree in Business, Marketing, Analytics, Economics, or related field
1-2 years of relevant experience in sponsorship analytics, marketing strategy, or business intelligence-ideally in sports, entertainment, or media
Strong proficiency in Excel, PowerPoint, and data visualization tools (e.g., Tableau, Power BI)
Familiarity with CRM systems such as Salesforce and sponsorship valuation tools (e.g., Nielsen, SponsorUnited, Zoomph) is a plus
Excellent analytical, critical thinking, and problem-solving skills
Strong communication skills with the ability to present complex data in a clear and compelling way
Detail-oriented with the ability to manage multiple priorities and meet tight deadlines
Collaborative and proactive team player with a passion for the business of partnerships
Knowledge, Skills and Experience
Education - Bachelor's Degree
Experience Required - 1-2 Year
This position is on-site.
Company:Katella Avenue Partners, LLCOur Commitment:
We are committed to providing an environment of mutual respect where equal employment opportunities are available to all applicants and team members without regard to race, color, religion, sex (including pregnancy and gender identity), national origin, political affiliation, sexual orientation, marital status, disability, genetic information, age, membership in an employee organization, parental status, military service, medical condition or any protected category prohibited by local, state or federal laws. We are firm believers that diversity and inclusion among our team members are critical to our success, and we seek to recruit, develop, and retain the most talented people from a diverse candidate pool.
If you like wild growth and working with happy, enthusiastic over-achievers, you'll enjoy your career with us!
Auto-ApplyCorporate Strategy Analyst
Finance manager job in Los Angeles, CA
Analyst, Corporate Strategy
Sherman Oaks, CA
Careismatic Brands outfits our community of care through our portfolio of market-leading brands that meet the diverse needs of healthcare professionals worldwide. We are one piece of a larger community of those who are and are cared for. Whether it's medical professionals or the patients they serve, we are inspired by those who wear our uniforms every day. We have an outstanding opportunity for a Corporate Strategy Analyst to drive business performance improvements, implement change initiatives, and support strategic decision-making. Their profile blends strategic thinking, analytical skills, and change management capabilities.
Reporting directly to the Senior Vice President, Transformation and Chief of Staff, this role applies strategic planning, financial knowledge and experience to organize, support and track the implementation performance of complex strategic initiatives. As a key contributor of the team, the Strategy Analyst contributes to CB's mission to improve the lives of everyday people doing extraordinary things by delivering high-quality support aligned with the company's values and transformation initiatives.
This is a full-time hybrid role based in our corporate office in Sherman Oaks, CA.
Salary Range: $90,000-$100,000
Physical Demands & Work Environment
The physical demands described here are representative of those that must be met by a Team Member to successfully perform the essential functions for this position. Reasonable accommodations may be made to enable individuals with disabilities to perform the functions.
Hybrid work schedule in office
Ability to travel up to 5% of the time
What Your Day Looks Like
Strategic Planning & Analysis
Support Functional areas to collate initiative performance measurement and collaborate with Finance in tracking progress of strategic initiatives and key performance indicators (KPIs, Projections and internal and external variances to plan).
Contribute to spotting performance challenges early and proposing practical solutions.
Analyze financial performance metrics to assess profitability, investment priorities, and resource allocation.
Work closely with cross-functional teams and PMs to ensure initiatives are aligned with organizational goals.
Support the refinement of corporate strategy, including market entry, growth, and diversification initiatives.
Develop business cases, financial models, and scenario analyses to support strategic decisions.
Provide regular updates and insights in presentation form on strategic projects for executive leadership.
Prepare clear and compelling presentations for executive teams and board meetings.
What We're Looking For
Bachelor's degree in Business, Economics, Finance, or related field (MBA preferred).
3-5 years of experience in management consulting, operations and/or finance, corporate strategy or related analytical roles. Hands on experience operating within an organization an asset.
Proficiency in Excel, PowerPoint, BI tools (Tableau/Power BI)
Demonstrated ability to interpret data, build models, and extract insights.
Strong business acumen and understanding of corporate financial statements flows including cash flows.
Understanding of corporate strategy, organizational design, and performance improvement levers.
Project Management: Competence in managing multiple workstreams or supporting large-scale transformation programs.
Excellent written and verbal communication skills with ability to present complex findings clearly.
Experience in a fast-paced environment with exposure to executive-level decision-making.
Ability to work independently and handle multiple projects simultaneously.
High attention to detail, intellectual curiosity, and a collaborative mindset.
What's In It For You
401(k)
Dental insurance
Employee discount
Flexible spending account
Health insurance
Life insurance
Attractive Paid time off
Vision insurance
At Careismatic Brands, we believe in the power of care. It's the force that drives and inspires us, inside our company and out in the world. It's why we strive to maintain a diverse and inclusive organization - an ever-evolving imperative - where everyone feels respected, valued, and empowered to bring their ideas and perspectives forward.
Careismatic embraces the differences that make our organization unique. We are strengthened by diversity in all its forms - including but not limited to race, religion, ethnicity, age, national origin, gender identity, and sexual orientation.
Financial Analyst
Finance manager job in Los Angeles, CA
Our Consumer Products client, in partnership with CV Resources, seeks a talented Financial Analyst to join their Finance and Accounting Team. You will have the opportunity to report directly to the head of the FP&A department, gaining valuable mentorship opportunities.
Job Title: Financial Analyst
Location: near West Hollywood
Job Status (direct hire, consulting, consulting with possibility of hire) - This role is a direct hire role.
Job Site Status (onsite/hybrid/remote) - Our client has an onsite work status.
Compensation - Salary range is $70,000/year to $90,000/year. There is a bonus offered.
RESPONSIBILITIES OF THE FINANCIAL ANALYST
Financial Planning and Analysis (FP&A) - Budgeting and Forecasting
Develop and maintain monthly and quarterly forecasts, identifying trends, risks, and opportunities.
Perform variance analysis to compare actual results against forecasts and budgets, providing actionable insights.
Support long-range financial planning and scenario modeling to guide strategic business decisions by updating data.
Assist the Head of FP&A in leading annual budget, reforecasts, and long-term plans in both corporate and sales and marketing budgets.
Collaborate with stakeholders to help understand vendor costs and ensure that billed invoices are accurate.
Financial Planning and Analysis (FP&A) - Data Analysis
Gather data from diverse sources (ERP, POS, and other platforms)
Integrate data.
Analyze data using Business Intelligence (BI) tools.
Present proposals based on data analysis.
Financial Planning and Analysis (FP&A) - Data Maintenance
Track performance metrics to measure business performance.
Generate ad hoc analysis and financial reporting.
Process Improvements
Identify opportunities to streamline financial processes, improving efficiency and reporting accuracy.
Support financial system upgrades and automation initiatives to enhance reporting capabilities.
Ensure internal controls and compliance with financial policies and best practices.
Assist in the development of financial tools and models to support decision-making.
Miscellaneous
Accept all relevant tasks as given by upper management.
QUALIFICATIONS OF THE FINANCIAL ANALYST
Required
Bachelor's degree in accounting, finance, or a comparable major.
Bachelor's degree from a well-respected college or university.
At least one (1) year of FP&A work experience.
Proficient understanding of Key Performance Indicators (KPI's)
Preferred
MBA
Current or prior experience working in one of these following industries: manufacturing, distribution, Consumer Products Goods (CPG), Food and Beverage, Apparel.
Three (3) statement model experience (income statement, balance sheet, and cash flow statement) into one dynamically connected financial model.
SKILLS OF THE FINANCIAL ANALYST
Required
Technical
Expert-level MS Excel proficiency (pivot tables, financial modeling)
Power BI or Tableau or Planful or equivalent program
Interpersonal
Executive presence.
Superb analytical and critical thinking skills.
Diligence and accuracy.
Impeccable communication skills.
For further information, submit your resume to Mark@CVRStaffing.com. All inquiries will be kept in the strictest confidence.