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Corporate Finance Manager
Apply
$183k-246k (estimate)
Full Time 4 Days Ago
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Mutual of Omaha Mortgage is Hiring a Corporate Finance Manager Near San Diego, CA

Job Description

Job Description

Qualifications

  • The ideal candidate will have a strong background in accounting, treasury, tax, and financial modeling/forecasting with exceptional analytical skills and the ability to collaborate effectively with cross-functional teams.
  • Bachelor's degree in Accounting, Finance, or related field
  • Proficient in accounting and financial management software and Microsoft Office products, particularly MS Excel
  • Excellent communication and interpersonal skills
  • 5-7 years of related professional Accounting/Finance experience
  • CPA or similar professional designation preferred
  • Mortgage industry experience preferred
Responsibilities
The Manager-Corporate Finance is a newly-developed role within the Finance and Accounting function, created to streamline activities among team members in order to support growth in the business. The individual will be a key member of the Finance and Accounting leadership team, who serves as a central leader for financial planning, liquidity and capital management activities.
This position is an individual contributor role and requires great attention to detail and organization. This position will work closely with other finance, accounting, and business intelligence reporting teams and will be a key business partner for divisional presidents, corporate leaders, and operations staff.
Treasury: Coordinate company cash management, banking, and treasury activities
  • Monitor and manage the company's cash position to ensure that day-to-day and period-end cash requirements are accurately and timely forecasted and funded.
  • Develop and maintain cash flow forecasting models
  • Oversee the daily reconciliation of all company bank accounts
  • Review, approve and release electronic disbursements
  • Troubleshoot daily transaction issues
  • Serve as primary administrator on online banking platforms, and other treasury platforms
  • Monitor and oversee existing bank account services and signatories including providing recommendations on bank account administration for opening, migrating and closing accounts
  • Manage corporate card, ACH debits and credit card and ensure compliance with policies and procedures for corporate card usage
  • Evaluate and recommend banking products, services and platforms as appropriate, identifying cost-saving and profit-maximizing opportunities in the treasury function while maximizing the protection of the company’s cash assets
  • Partner with the SVP-Finance and the parent company’s treasury function to create the vision, strategy and standards for treasury activities including treasury policies, procedures and controls, identifying opportunities and implementing treasury-related business process improvements
External Reporting: Coordinate completion of external financial and tax reporting requirements
  • Coordinate annual external financial statement audit, serving as a central point of contact for all internal contributors/stakeholders and for the audit firm
  • Prepare quarterly financial reporting for regulators using financial information prepared by the controller function
  • Prepare monthly and quarterly debt covenant reporting using financial information prepared by the controller function and other internal contributors
  • Lead process improvements to enhance efficiency and effectiveness of financial reporting and audit coordination processes
  • Build and maintain relationships with external tax advisors, outsource partners, auditors, and constituents throughout the companies to facilitate communication and collaboration
  • Coordinate completion of Federal, State and local tax returns and any associated reporting with third party accounting firms and parent company’s tax function
  • Partner with internal business units on tax strategies and to proactively identify issues and opportunities
  • Complete quarterly income tax provisions for all entities, maintaining deferred tax asset and deferred tax liabilities inventories and tracking income tax payable/receivable balances and preparing accounting entries for the controller function
  • Lead process improvements to enhance efficiency and effectiveness of tax activities
Financial Planning & Analysis: Coordinate annual financial plan and quarterly forecast processes
  • Lead annual financial plan process, developing key inputs with stakeholders and analyzing historical and current trends to assess other budget assumptions
  • Use budgeting, financial forecasting and modeling tools to forecast balance sheet positions over the forecast period, including liquidity and capital positions
  • Implement department-level budgets for corporate functions, facilitating the near-term and long-term planning for these functions and enabling appropriate allocations based on cost-drivers
  • Create forward-looking financial models and analyses to support key future growth opportunities and strategic projects
  • Identify, recommend, and execute on improved budget and forecasting methods to optimize near and long-term liquidity and capital planning
  • Assist business leaders with identifying and tracking key financial performance indicators and objectives
Additional Responsibilities
  • Coach, mentor, and develop team members, contributing to a workplace culture oriented toward empowered teams and continual growth
  • Support Accounting, Finance, & Reporting initiatives, such as software and systems implementation and other departmental or company-wide improvements, with research, planning, and implementation, as required
  • Support senior management team and operations leadership with in-depth analysis of core and ad hoc capital management projects

Salary range for role is $90,000- $140,000.

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Job Summary

JOB TYPE

Full Time

SALARY

$183k-246k (estimate)

POST DATE

04/25/2024

EXPIRATION DATE

05/08/2024

WEBSITE

mutualmortgage.com

HEADQUARTERS

CHICAGO, IL

SIZE

500 - 1,000

FOUNDED

2016

CEO

TODD JONES

REVENUE

$5M - $10M

INDUSTRY

Lending & Credit

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About Mutual of Omaha Mortgage

With Corporate Headquarters in both San Diego, CA & Chicago, IL, our organization has a strong leadership team of seasoned mortgage professionals. We offer state-of-the-art technology and superior operational support, ensuring your loan process will be easy and efficient. As one of the most trusted names in financial services for more than 100 years, our brand is known by millions who do business with Mutual of Omaha, a Fortune 500 company. We are recognized for our enduring legacy of always taking care of our customers. Mutual of Omaha Mortgage, Inc. NMLS #1025894. Mutual of Omaha and its aff...iliates are an Equal Opportunity / Affirmative Action Employer, Minorities/Female/Disabled/Veteran. Legal Disclaimers: https://www.mutualmortgage.com/legal/index For licensing information, go to: www.nmlsconsumeraccess.org Equal Housing Lender For Customer Service Inquiries - Please contact Bill Sullivan at 630-432-6492 More
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The following is the career advancement route for Corporate Finance Manager positions, which can be used as a reference in future career path planning. As a Corporate Finance Manager, it can be promoted into senior positions as a Finance Manager, Sr. that are expected to handle more key tasks, people in this role will get a higher salary paid than an ordinary Corporate Finance Manager. You can explore the career advancement for a Corporate Finance Manager below and select your interested title to get hiring information.

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