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The Capital Markets Analyst will contribute to efforts to evaluate, implement and achieve strategic business opportunities through Lender Finance, Warehouse Lending and new Structured Finance initiatives in order to optimize the bank's balance sheet and improve the company's financial performance.
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The Capital Markets Financial Analyst ("CMFA") Pool Manager is a multifamily subject matter expert responsible for the day-to-day management of the CMFA Pool's delivery of financial analysis on behalf of Cushman & Wakefield's Multifamily Advisory Group ("MAG") brokerage services.
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Analysts have extensive client interaction and prepare various reports for clients in the areas of cash flow planning, income tax projections, investment allocation, investment performance, Family Office provides sophisticated solutions to streamline the intricate financial lives of ultra-high net worth families, through comprehensive coordination, advanced risk management, investment services and legacy preservation strategies.
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Work towards Chartered Financial Analyst (CFA) or equivalent designation if applicable. Minimum of 1 year of recent sales experience with a demonstrated track record of sales success (experience selling mutual funds, ETF and/or other investment products with an asset management firm and/or distribution organization is a plus but not required.
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Bachelor's degree with concentration in finance, accounting or business and 2+ years of professional work experience, preferably in corporate finance, planning and analysis in a consumer-based environment, digital media sales planning or other analytical role, investment banking or consulting.
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The Role As a Senior Financial Analyst at Podium, you will serve as the strategic finance partner for specific areas of the business and be responsible for budgeting, forecasting, and long-term financial planning.
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Collaborate with senior management to define the operating strategy for retail inventory liquidations or dispositions incorporating strategic assumptions into the financial investment model.
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We’re looking for a Financial Analyst III to join our Principal Asset Management business on our Financial Planning & Analysis team. Non-sales positions have the opportunity to participate in a bonus program.
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Oppenheimer & Co. Inc. ("Oppenheimer") is a leading middle-market investment bank and full service broker-dealer, With roots tracing back to 1881, the Company is engaged in a broad range of activities in the financial services industry, including retail securities brokerage, institutional sales and trading, investment banking (both corporate and public finance), equity & fixed income research, market making, trust services and investment advisory and asset management services.
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Our Summer Analyst program is designed to offer you a broad and exciting experience of work as a full time Investment Banking analyst. Our Global Corporate & Investment Banking business focuses on building long-term relationships with more than 3,000 large U.S. and multinational corporations, financial institutions and financial sponsors.
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The Go To Market Senior Financial Analyst (GTM SFA) is a highly visible role driving unit economics, Sales & Marketing functional view reporting, and capital allocation across the Sales & Marketing budget.
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As a Financial Analyst you'll be at the heart of our support operations by providing expert financial analysis and other analytical work to support transaction management and brokerage services.
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1-3 years of relevant work experience in financial services, investment management, investment research, investment banking, management consulting, entrepreneurship, or law and/or a degree from a top-tier master’s program.
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A core focus of the Analyst will be to develop, own, and operate both financial and technical models to assess product competitiveness, valuation of product attributes, credits and incentives introduced under the Inflation Reduction Act, as well as business cases for new products, services, and companies for strategic, partnership, investment, or acquisition.
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Evaluates, in conjunction with financial advisors, proposals from investment bankers involving bond refundings, financial derivative products, and innovative finance techniques, and makes recommendations to management.
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