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You will monitor and manage existing credit relationships in coordination with the Private Wealth Underwriting group, including loan renewals, detailed analysis of financial statements and collateral valuations, credit analysis, cash flow analysis, delinquency reporting, documenting exceptions, and covenant monitoring.
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Additional responsibilities include the seamless delivery of Deposit Services, Brokerage, Investment management, Trust and Insurance services to high net worth clients and businesses. Thorough knowledge of client benefits offered by Brokerage, Investment management, Trust and Insurance products and services.
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Financial analysis and reporting; Development and control of internal procedures; Preparation and presentation of financial reports to senior management; Tax preparation; ESOP valuation and compliance; Management of accounting personnel; Staying updated on industry trends, regulations, and best practices in financial management; Support and back-up CFO in preparation of financial statements; Cash management; Budgeting and Forecasting.
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Oversee cost engineering activities including development and implementation of cost control systems, invoice processing activities, monthly cost reporting, trending, VAC Analysis, cost variance analysis, funding budgets, revenue recognition and cash flows.
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Primarily responsible for supporting management in the following accounting functions, including but not limited to monthly and quarterly close; general ledger; recording and relieving accruals; account reconciliations; intercompany allocations and reconciliations; balance sheet and income statement analysis; compliance with US GAAP, external and internal audits, design, implementation, and/or improvement of processes and internal controls; and other ad-hoc projects as necessary.
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This role is also eligible to earn performance based incentive compensation, which may include cash bonus(es) and/or long term incentives (LTI). Conceptual thinking skills must be complemented by a strong quantitative orientation, given that a large part of the business is based on rigorous analytic marketing & credit risk management.
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Basic Qualifications: Bachelor's Degree At least 7 years of experience in digital product management Preferred Qualifications: Bachelor's Degree in Computer Science or Engineering MBA or Master's degree 5 years of experience in Agile product management 5 years of experience translating business strategy and analysis into consumer facing digital products Capital One will consider sponsoring a new qualified applicant for employment authorization for this position.
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Detailed knowledge of GSE underwriting, including the development of cash flow forecasts and pricing metrics; must have a solid understanding of credit risk analysis and mitigation related to leverage, cash flow, rent rolls, third party reports, loan structure, borrower credit worthiness, management/operator experience, market analysis and asset quality.
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Manages the entire spectrum of Project Controls activities for the Construction Business Line. Responsible for the management of the Project Control activities within North Wind’s Construction Business line including, but not limited to scheduling, budgeting, estimating, risk management, reporting, contract administration, and administrative services.
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Assist in the underwriting process for land acquisition opportunities, including the preparation of deal specific competitive market analysis studies, preparing financial reports for acquisition opportunities to present to senior management (including proforma assumptions, proformas, profit and loss statements, cash flows, balance sheets, ROI, etc.
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At least 3 years of experience in auditing information security (application security, network security, cyber security, data protection), or cloud computing controls (design, operation, risk management, auditing) or a combination.
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Under the direction of the Chief Financial Officer, the Office of the CFO, Finance, Budget & Real Estate division fulfills the Controller and Treasury functions for VTA including financial reporting, accounting, budgeting, investment services, cash management, debt administration, payroll, accounts receivable, accounts payable, real estate, and farebox revenue services.
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Forecasting profitability and cash flow, managing the annual budgeting process and budget data, and supporting senior management decision making with professional financial analyses. review of General Ledger and sub ledger reconciliation, inventory valuation, report generation and variance analysis.
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Participate in the acquisition, negotiation, selection, and ongoing reporting for debt financing arrangements, including outreach, accumulating and organizing proposals, preparing cash flow analysis, and ongoing covenant reporting.
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Strong domain functional experience in one or more of cash management, payments, receivables, liquidity management, working capital solutions, commercial card programs, trade finance.
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cash management analysis jobs
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