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The Treasury Operations Specialist is responsible for overseeing daily operational functions across a range of financial products, ensuring timely and accurate processing of all treasury transactions. This role requires extensive experience in money markets, repos, reverse repos, treasuries, bonds, credit default swaps (CDS), swaptions, options, and futures.
The position involves developing and executing a comprehensive Model Risk Controls Testing Program as part of the second line of defense. Key responsibilities include creating control libraries, testing methodologies, and reporting outcomes to enhance the Model Risk Control Framework and oversee End-User Computing (EUC) controls testing initiatives.
Exciting opportunity for a Director / MD Capital Formation Structurer to join a leading UK & US based private credit fund in London.
Le Directeur Administratif et Financier (DAF) devra, en relation avec le CEO et les actionnaires du Groupe, superviser, coordonner et assurer la fiabilité de l'ensemble des informations financières de la société.
Notre client est leader de la distribution de produits pétroliers à Madagascar, avec une présence historique sur l'ensemble du territoire et une ambition renouvelée d'excellence opérationnelle. Dans un contexte de transformation, le groupe souhaite renforcer son comité de direction en recrutant un Directeur Administratif et Financier expérimenté.
Are you a Finance Leader in the Manufacturing sector looking for a new Leadership position? Do you have an advanced understanding of Cost Accounting, General Accounting and FP&A? Would you like to run the Finance Function for an entire business unit and partner daily with Operations Executives to achieve strategic financial goals? If so, please apply to the Financial Controller - Manufacturing opportunity near Putnam, CT for further consideration.
As Deputy Treasurer you will be responsible for managing the bank's assets, liabilities, liquidity, and interest rate risks
This role offers a great opportunity to contribute to a crucial area of financial risk management and to help shape practices that ensure the stability and integrity of financial markets.
Als Manager Statutory & Tax Accounting (m/w/d) verantworten Sie die Erstellung der HGB-Jahresabschlüsse inklusive IFRS-Überleitungen, koordinieren die Zusammenarbeit mit Wirtschaftsprüfern und beraten das Management zu bilanziellen Fragestellungen. Zudem übernehmen Sie die steuerliche Buchhaltung sowie die Abbildung komplexer buchhalterischer Sonderthemen im internationalen Konzernumfeld.
En lien direct avec la Direction Générale, vous pilotez la fonction finance dans toutes ses dimensions. Vous jouez un rôle moteur dans les projets de développement et assurez la fiabilité des informations financières dans un environnement en constante évolution.
Tax & Advisory Director - Canberra based. Succession planning underway
This is a leadership role in a growing professional practice focused on high net worth clients.
This role drives business transformation by optimizing processes and leveraging data across Finance, Controlling, Procurement, and Legal. Key tasks include process analysis, project management, financial planning, and compliance. Candidates should have experience in process re-engineering, digital transformation, and strategic leadership, ideally within pharmaceuticals or consumer goods.
新增财务高管角色,旨在助力公司全球化深入运营过程中的业务决策与财务基础设施升级。
As Group Financial Controller you will be responsible for running the finance function of this high growth fintech reporting to the CFO.
This is a rare opportunity to lead financial planning and analysis in a dynamic, purpose-driven organisation, directly influencing strategic decision-making at the highest level. As Head of Finance - FP&A, you'll drive financial transformation, partner with senior leadership, and play a key role in shaping long-term profitable growth
Thhe Associate will assist in conducting data and business analysis as part of the Risk Data Aggregation & Risk Reporting program at the bank. Key responsibilities include performing data analysis, gathering business requirements, and automating reporting processes to efficiently support projects and initiatives within the RDA Program, while ensuring compliance with senior management and regulatory requirements.
The Loan Workouts Officer entails managing various responsibilities to support loan workout operations, focusing on credit risk evaluation, portfolio management, and ensuring compliance with internal and external requirements.
This role involves managing credit risk governance, with a focus on portfolio analysis, allowance for credit loss estimation, and risk reporting, while ensuring compliance with regulatory standards and internal controls. Responsibilities also include refining credit policies, liaising with regulators and auditors, and preparing reports for senior leadership and committees.
The Senior Credit Risk officer evaluates and monitors portfolio-level credit risk using advanced analytics, statistical techniques, and data-driven strategies. They collaborate with internal teams to develop policies and optimize risk-adjusted returns while aligning objectives with business goals.
Are you a Project Finance leader with a career track record in the Construction sector seeking a new opportunity? Would you like to partner with Operations Executives to lead all aspects of Project Accounting and Project Finance? Do you want to work for an award winning company that are one of the fastest growing in the specialty discipline? Based on site 5 days a week in the Providence, Rhode Island area, please apply for consideration.
Boston based Single Family Office seeks Portfolio Manager to join their growing investment team.
The VP/Director Project Finance Credit Risk Officer will analyze and evaluate credit risk for project finance transactions across sectors such as infrastructure finance, renewables, and oil/gas. Responsibilities include conducting credit risk assessments, developing financial models, and collaborating with cross-functional teams to support high-impact projects.
The Corporate Credit Analyst will analyze and evaluate credit risk for investments in the Technology, Media, and Telecommunications (TMT) sectors within the investment arm of a global bank. Responsibilities include credit analysis, investment evaluation, risk management, financial modeling, market research, and collaboration with cross-functional teams to support investment transactions.
This position requires strong skills in financial oversight, risk management, and HR leadership to guarantee the subsidiary's sustained growth and stability. The ideal candidate will view this as an exciting opportunity to assist the Managing Director in enhancing the subsidiary's financial performance, executing strategic financial and HR initiatives to promote growth and long-term success.
The Head of Financial Controlling will be responsible for leading the financial close and operations of the real estate assets. This includes overseeing month-end reporting, implementing and enhancing internal controls, managing the year-end audit process, and driving operational efficiency across the respective real estate holding companies.
Are you a Finance Leader in the Burlington, Vermont area looking to be the lead Finance person for a business? Do you want to partner daily with the Company President to ensure the financial health and strategic growth of the company? Do you want to work for a well-established, reputable company who have been in business many years who continues to go from strength to strength? If so, please apply to the Financial Controller position. On-site 5 dyas a week.
Key Fixed Income & Bond Analyst within the Macro & Cross Asset Research Team - Unique opportunity to be part of a dynamic London-based investment team at a fast-growing Swiss group, actively shaping the firm's fixed income strategy.
Our client is a European Infrastructure Manager with global expansion plans.For their new created Value Creation team, we are looking for a Director to take care of new and existing portfolio companies.
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