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A fantastic opportunity for a seasoned Executive Search professional to join our thriving CFO practice in North America.
The firm is a leading debt capital partner for North American middle market companies and offers a broad range of financing solutions, including first lien, stretch senior, unitranche, second lien, and subordinated debt, as well as equity co-investments. The team is looking to add a Private Credit Associate.
Treasury professional with market trading experience with fixed income products managing US Treasury, US agencies and Repo portfolio
The Head of Traded Credit Risk / Counterparty Credit Risk is responsible for overseeing and managing the credit risk associated with traded products, including derivatives, repos, swaps, and total return swaps. This role ensures that the firm maintains a robust risk framework while optimizing risk-adjusted returns.
FIG Counterparty Credit Risk Consultant with 10+ years of expertise in assessing, managing, and mitigating credit risks associated with banks, broker-dealers, clearinghouses, mortgage REITs, originators, funds, and asset managers. This role involves working closely with stakeholders to provide strategic risk assessments and ensure robust counterparty risk management frameworks.
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 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.
The Head of Corporate Credit Risk will oversee and manage a diverse credit risk portfolio, including general corporates, leveraged finance, and project finance. Responsibilities include conducting credit risk assessments, developing financial models, and leading a team to optimize portfolio performance and mitigate risk.
The VP of Revenue Cycle Management will oversee the strategic and operational aspects of revenue cycle processes to optimize financial performance and compliance in the Infusion service department. This role requires a proven leader with a strong understanding the complexity of infusion care.
Working with global head of Sustainability to structure and drive net zero program provide expert input and consolidate current work into well established Climate Transition Plan.
As part of its strategic growth plan in the Structured Finance and Syndication business, we are seeking an experienced professional to lead its Structured Finance and Syndication initiatives in Zurich. This role is part of a broader strategy to enhance capabilities within the Corporate Banking business.
Avec plus de 12'000 collaborateurs et collaboratrices représentant 160 métiers, les Hôpitaux Universitaires de Genève (HUG) sont un établissement de référence au niveau national et international.
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