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Corporate Finance Roles
25
Flashcards
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Quantitative Analyst
Utilizes advanced mathematical and statistical techniques to solve complex financial and risk management problems.
Treasurer
Manages the organization's budget, ensures accurate financial reporting, and advises on investment activities.
Budget Analyst
Reviews budget proposals and requests for funding, evaluates spending needs, and analyzes the financial impact of budget decisions.
Accounts Payable/Receivable Manager
Manages the company's bills and invoices, ensuring that all accounts are up to date and expenses and debts are paid appropriately.
Fund Accountant
Specializes in maintaining and reporting financials for investment funds, including calculating net asset values and preparing financial statements.
Financial Analyst
Conducts financial planning and analysis to support decision making, including forecasting and budgeting.
Investor Relations Officer
Manages communication between a company's corporate management and its investors.
Venture Capital Analyst
Evaluates startup companies for potential investment and takes part in the deal-making process.
Financial Controller
Oversees accounting practices, manages financial systems and budgets, prepares financial reports, and monitors internal controls.
Controller
Directs the preparation of financial reports that summarize and forecast business activity and financial position.
Risk Manager
Identifies and mitigates financial risks using various risk management tools and strategies.
Corporate Development Manager
Drives growth initiatives, including mergers, acquisitions, divestitures, and strategic partnerships.
Corporate Treasurer
Responsible for corporate liquidity, investments, and risk management related to the company's financial activities.
Chief Financial Officer (CFO)
Responsible for overseeing a company's financial operations, financial planning and strategy, and reporting to the CEO.
Capital Markets Analyst
Analyzes financial markets and instruments, including equities, fixed income, and derivatives, to inform the company's investment decisions.
FP&A Manager
Leads financial planning and analysis for an organization, supporting executive management with insights and data-driven decisions.
Project Finance Manager
Works on the financing of long-term infrastructure, industrial projects, and public services using a non-recourse or limited recourse financial structure.
Tax Manager
Handles tax compliance, planning, and reporting for a corporation to minimize tax liabilities.
Payroll Specialist
Processes company payroll, ensuring accurate calculation of wages, tax withholdings, and company deductions.
Mergers & Acquisitions Analyst
Assists in the execution of M&A transactions, including valuation, due diligence, and deal structuring.
Compliance Officer
Ensures that company operations are conducted in line with regulatory standards, including SEC regulations and internal policies.
Private Equity Associate
Works in private equity firms analyzing potential investments, managing portfolio companies, and assisting with transactions.
Cost Analyst
Conducts analysis of costs and prepares reports to help manage a company's financial performance.
Credit Manager
Oversees the credit granting process, including the consistent application of credit policy.
Internal Auditor
Examines and improves operating practices, and financial and risk management processes of the company.
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