Financial Analyst<p>We are offering a long-term contract employment opportunity a Disbursements role in Memphis, Tennessee. This role is pivotal in our Finance department, focusing on supporting various administrative functions and contributing to the overall operational efficiency.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Contribute to financial decision-making by analyzing and interpreting data.</p><p>• Support the Finance department by performing various administrative tasks.</p><p>• Collaborate with team members to ensure accuracy in all financial records and reports.</p><p>• Respond to finance-related inquiries and provide necessary information.</p><p>• Participate in financial planning, budgeting, and forecasting activities.</p><p>• Perform ad hoc financial analyses as required, contributing to strategic initiatives.</p><p>• Monitor financial trends and provide insights to inform business decisions.</p><p>• Maintain financial models and perform scenario analyses to support decision-making processes.</p><p>• Uphold data integrity by ensuring all financial data is accurate and up to date.</p>Financial Analyst<p>We are offering an exciting opportunity for a Financial Analyst in the heart of MEMPHIS, Tennessee. This role is instrumental in our financial planning and analysis process, analyzing complex data to provide insights, and working closely with senior management to make critical business decisions. As a Financial Analyst, you will also be expected to maintain and develop various financial models, and standard templates to ensure quality, accuracy and focused analytic review.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Analyze complex business and financial data to provide insight and develop recommendations.</p><p>• Collaborate with the leadership team to solve business problems such as identifying revenue opportunities and efficiency gains.</p><p>• Perform monthly balance sheet, income statement, and budget variance analysis.</p><p>• Support the financial planning & analysis (FP& A) process for assigned functional departments.</p><p>• Create financial models and analyses to support organizational decision making.</p><p>• Develop financial plans, budgets, and insightful reporting for organizational leaders.</p><p>• Drive overall performance and cost optimization to fund growth and improve profitability.</p><p>• Analyze industry trends and make recommendations based on those trends.</p><p>• Evaluate capital expenditures and depreciation.</p><p>• Develop automated reporting and forecasting tools for more efficient use of data.</p><p>• Communicate financial impact and provide visibility for initiatives to the leadership team.</p>Treasury Analyst/Assistant Treasurer<p>We are seeking a Treasury Analyst to join our team in Memphis, Tennessee. This role involves managing daily cash operations for a large-scale organization, ensuring adequate liquidity, and assisting in monitoring funding and liquidity risk. The Treasury Analyst will be responsible for preparing financial reports, managing liquidity position, and maintaining treasury policies and procedures.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Manage daily cash operations ensuring all liquidity requirements are met.</p><p>• Prepare daily, weekly, monthly, and quarterly treasury reports.</p><p>• Analyze key metrics and perform ratio analysis to inform financial management decisions.</p><p>• Initiate transfers or deposits in response to funding needs and manage the cash process.</p><p>• Advise management on liquidity position based on detailed analysis.</p><p>• Document and update treasury policies and procedures as required.</p><p>• Assist in monitoring funding and liquidity risk and overall asset/liability management issues.</p><p>• Support preparation for monthly and quarterly Asset-Liability Committee (ALCO) reports.</p><p>• Provide general technical and operations support, initiating, receiving, researching, and resolving routine and some non-routine inquiries.</p><p>• Develop analytics resources and support the information culture within the organization.</p>Treasury Analyst<p>Responsible for the daily cash management operations of a $1B+ asset bank, the Treasury Analyst maintains optimal liquidity levels and contributes to the monitoring of funding and liquidity risk. This position prepares, analyzes, and disseminates financial reports for effective fund management and executes daily processes to balance deposits and ensure adequate liquidity.</p>SOX Analyst<p>Large organization is currently seeking a SOX Analyst. </p><p> Perform annual planning of the Company’s SOX compliance efforts, including risk assessment, materiality, identification of significant accounts and classes of transactions (processes);</p><p> Coordinate with Business Owners and Control Owners to ensure that internal controls over financial reporting are effectively designed and sufficiently documented within the Company’s SOX documentation; Communicate control deficiencies to Business Owners and Control Owners and assist them in designing remediation efforts; Evaluate, document, and report control deficiencies; Facilitate and monitor the remediation of control deficiencies; Maintain the narrative documentation of the Company’s SOX processes; and Identify opportunities for enhancements of the efficiency and effectiveness of business processes and control activities.</p>Data Analyst<p>We are offering an exciting opportunity in the Financial Services industry, seeking a Data Reporting Analyst to join our client's team in Memphis, Tennessee! As a Data Reporting Analyst, you will be instrumental in managing data functions, partnering with various teams, and providing comprehensive data engineering and market data analyses. </p><p><br></p><p><strong>Responsibilities:</strong></p><ul><li> Manage existing data functions, serving as a significant contributor to the product development process.</li><li> Collaborate effectively with business and technology teams to establish best practices, implement solutions, and address issues within set deadlines.</li><li> Deliver a wide range of market data, data engineering, and analyses to support research, investment, and client management processes.</li><li> Source data proactively and resolve data issues by liaising with internal and external partners promptly.</li><li> Contribute to ad-hoc reporting and analysis in response to requests from internal and external stakeholders.</li><li> Develop and maintain necessary documentation to support data functions.</li><li> Maintain a high level of professionalism and integrity when handling proprietary information.</li><li> Align your work approach with the principles of Value investing.</li><li> Utilize your skills in Analytics, Data Analysis, Data Analytics, FactSet, Bloomberg Terminal, Python, PowerShell Scripting, Microsoft Excel, SSRS, and SQL Server Reporting Services effectively.</li></ul>Sr. Accounting Analyst<p><strong>Job Title: Accounting Analyst</strong></p><p><br></p><p><strong>Job Overview:</strong></p><p>Our prestigious client is seeking a motivated and detail-oriented <strong>Accounting Analyst</strong> to play a pivotal role in launching a state-of-the-art facility. This is a rare opportunity to join a dynamic team in a fast-paced start-up environment, contributing to the development of innovative operations from the ground up.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Conduct month-end close activities, including inventory accruals, journal entries, account reconciliation, billing, and financial analysis.</li><li>Provide detailed reporting and analysis of financial data to support decision-making.</li><li>Collaborate with cross-functional teams to address operational challenges and drive process improvements.</li><li>Coordinate and oversee the year-end physical inventory count.</li><li>Analyze general ledger data for accuracy, making adjustments as necessary.</li><li>Maintain cost allocation methodologies for direct and indirect expenditures.</li><li>Support external audits by preparing work papers, documentation, and calculations.</li><li>Perform analytics to inform strategic business decisions.</li><li>Contribute to other accounting and financial projects as needed.</li></ul><p><strong>Minimum Qualifications:</strong></p><ul><li>Bachelor’s degree in Finance, Accounting, or a related field.</li><li>Strong understanding of Generally Accepted Accounting Principles (GAAP).</li><li>Exceptional analytical skills to interpret and evaluate financial data.</li></ul><p><strong>Preferred Qualifications:</strong></p><ul><li>Experience in a manufacturing environment with SAP, particularly in a plant setting.</li></ul><p><br></p><p><br></p>Credit AnalystWe are offering an exciting opportunity in the finance industry, located in Memphis, Tennessee. We are seeking a Corporate Collections Specialist who will be tasked with managing customer accounts, resolving inquiries, and processing applications.<br><br>Responsibilities:<br><br>• Efficiently handle and resolve customer inquiries related to collection issues while providing excellent customer service<br>• Conduct regular communication and follow-ups with the Sales Department to facilitate prompt resolution of customer account problems<br>• Regularly monitor assigned accounts, including customer calls, account adjustments, small balance write-offs, and credit memo requests<br>• Build and maintain solid, cooperative working relationships with dealers, sales teams, and customers<br>• Maintain consistent management of Days Sales Outstanding (DSO) with a proactive approach to minimize bad debt exposure<br>• Collaborate with Sales and Senior Management when necessary to expedite collections<br>• Conduct frequent phone calls to customers with overdue balances to address their outstanding balances<br>• Prepare and submit weekly and monthly reports to the direct supervisor<br>• Distribute monthly delinquency notices to customers<br>• Address customer disputes and work towards resolving payment issues for outstanding balances<br>• Serve as the primary point of contact for both internal teams and external customers<br>• Participate in team meetings and contribute to the planning of department activities<br>• Meet and exceed the defined department goals, activity metrics, and key performance indicators (KPIs)<br>• Process customer credit applications accurately and efficiently<br>• Maintain accurate customer credit records<br>• Undertake other duties and tasks as assigned by the Manager.Accounting Manager<p>We are in search of an Accounting Manager to join our team in Memphis, Tennessee. The Accounting Manager will be responsible for managing general ledger accounts, preparing monthly financial statements, and ensuring timely and accurate billing and invoicing.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Manage general ledger accounts to ensure accurate financial reporting</p><p>• Prepare monthly financial statements for review and analysis</p><p>• Ensure that billing and invoicing processes are carried out in a timely and accurate manner</p><p>• Oversee collection efforts to maintain financial health of the organization</p><p>• Assist in the preparation of budgets and analysis of cost records</p><p>• Carry out monthly reconciliations with general ledger accounts</p><p>• Establish objectives for the accounting and finance departments and implement activities to achieve these objectives</p><p>• Monitor and update fixed asset records as needed</p><p>• Analyze account coding usage for accuracy and efficiency</p><p>• Serve as a backup for accounts payable and accounts receivable when necessary</p><p>• Ensure accurate entry of payroll timesheets</p><p>• Assist with various projects as assigned by the President and Controller</p><p>• Supervise and direct employees within the accounting/payroll department to ensure effective performance of duties.</p>Data Scientist<p>On behalf of our client in the financial industry, Robert Half is seeking a skilled Data Scientist to analyze large datasets, develop predictive models, and provide actionable insights to drive business decisions. In this role, you will work with structured and unstructured data, applying statistical analysis, machine learning algorithms, and data visualization techniques to solve complex problems. The ideal candidate will have a strong foundation in data analysis, programming (Python, R), experience working with big data tools (Hadoop, Spark) and cloud platforms (AWS, Azure); they will also have a background in financial industries.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Analyze complex datasets to extract meaningful insights and trends.</li><li>Develop and implement machine learning models to solve business challenges.</li><li>Collaborate with cross-functional teams to identify data-driven solutions.</li><li>Create clear and insightful visualizations to communicate findings.</li><li>Continuously improve data collection and processing methods.</li></ul><p><br></p>Federal Tax Manager<p><br></p><p>Job Duties and Responsibilities:</p><p><br></p><p>Federal Tax Return Compliance (e.g., prepare federal tax return workpapers, prepare federal tax return estimated payments, assist with federal tax return audits and notice response/resolution).</p><p>Documents positions with thoughtful, well written memorandums.</p><p>Develops policies and procedures to improve the efficiencies and the accuracy of the income tax return compliance process.</p><p>Monitors and analyzes tax regulatory and compliance developments and tax law changes and documents the impact to the Company.</p><p>Conducts all activities in a professional manner, which reflects First Horizon Bank’s culture and ethics</p><p><br></p><p>Job Requirements:</p><p><br></p><p>Tax technical, analytical and compliance skills and experience, including process and internal controls</p><p>Experience with tax tools, applications, and relevant financial systems (preferably including One-Source Income Tax and One-Source Tax Provision).</p><p>Ability to communicate in an effective and professional manner both orally and written</p><p>Detail oriented with strong troubleshooting and problem-solving skills</p><p>Ability to maintain positive, professional attitude in a fast paced and rapidly changing environment</p><p><br></p><p>Job Qualifications:</p><p><br></p><p>Bachelor’s Degree preferred in Accounting or Finance; Master’s degree preferred</p><p>2 – 5 years of experience in Big 4 public accounting firm, corporate tax department of publicly traded corporation or combination thereof</p><p>One-Source Income Tax software experience preferred</p><p>CPA designation or plans to pursue CPA designation</p>CFOWe are in search of a Chief Financial Officer (CFO) for our operations located in Memphis, Tennessee. This role entails taking charge of our financial operations, spearheading strategic growth initiatives, and safeguarding our organization's fiscal wellbeing and adherence to regulations. The CFO will play a pivotal role in Mergers & Acquisitions (M& A), financial strategy formulation, accounting, treasury, and risk management.<br><br>Responsibilities:<br>• Formulate and implement financial plans in line with business objectives, supervise budgeting, forecasting, and performance metrics.<br>• Oversee accounting, tax, treasury, and audit functions, ensuring adherence to GAAP and regulatory standards.<br>• Lead due diligence, valuation, and post-merger integration efforts for acquisitions and divestitures.<br>• Identify financial risks, manage cash flow, capital allocation, and maintain relationships with external auditors and financial institutions.<br>• Mentor finance teams, provide insights to the Board of Directors, and collaborate with key stakeholders.<br>• Use 3M, Accounting Software Systems, and ADP - Financial Services for various financial operations.<br>• Handle Business systems and CRM for effective business management.<br>• Oversee Accounting Functions, Auditing, and Budget Processes for financial accuracy and compliance.<br>• Manage Capital and conduct Cash Flow Analysis for effective financial planning.<br>• Use knowledge of Mergers & Acquisitions (M& A) and Earnings before interest and taxes (EBIT) to guide financial decisions.<br>• Apply knowledge of EBITDA for financial analysis and forecasting.Credit Manager<p>We are seeking a Credit Officer in Memphis, Tennessee to join our team. In this role, you will be overseeing our bank’s loan portfolio, loan approvals, loan concentrations, and risk management. This role is crucial in ensuring the overall quality of the bank’s lending portfolio and minimizing charge offs. </p><p><br></p><p>Responsibilities: </p><p><br></p><p>• Oversee the bank’s risk management to maintain control over all parts of the risk management process and minimize credit losses</p><p>• Chair the Loan Committee and the Loan Classification Committee, driving the credit culture and ensuring a high-quality, low-risk loan portfolio</p><p>• Review and analyze credits to ensure they meet sound underwriting standards and do not pose greater-than-acceptable risk</p><p>• Establish and analyze financial metrics of the bank’s loan portfolio for adherence to regulatory guidelines</p><p>• Assist the management team in establishing financial metrics for revenue enhancement, cost controls, and loan pricing </p><p>• Oversee the end-to-end credit risk management oversight for the bank’s third-party relationships</p><p>• Develop policies, standards, processes, metrics, tools, and analytics to inform management on third party organizations' current and emerging credit risks</p><p>• Provide leadership and management to Loan Operation employees</p><p>• Develop and implement the CECL model and provide quarterly analysis of the adequacy of the loan loss allowance</p><p>• Work with regulators in conducting their safety and soundness exams</p><p>• Lead, motivate, train, direct and supervise direct reports</p><p>• Prepare various management, regulatory and Board of Directors reports regarding loan portfolio performance and trends</p><p>• Assist in building annual organization goals as well as individual performance plans for direct reports.</p>State Tax ManagerThe position will focus on and support the annual state tax compliance process to provide well supported and documented analysis for management and for control purposes. The position will help develop policies and procedures to improve the efficiencies and the accuracy of the process.<br><br>Job Duties and Responsibilities:<br><br>• State Tax Return Compliance (e.g., prepare state tax return workpapers, prepare state tax return estimated payments, assist with state tax return audits and notice response/resolution).<br>• Documents positions with thoughtful, well written memorandums.<br>• Develops policies and procedures to improve the efficiencies and the accuracy of the income tax return compliance process.<br>• Monitors and analyzes tax regulatory and compliance developments and tax law changes, and documents the impact to the Company.<br>• Conducts all activities in a detail oriented manner, which reflects First Horizon Bank’s culture and ethics<br><br>Job Requirements:<br><br>• Tax technical, analytical and compliance skills and experience, including process and internal controls<br>• Ability to communicate in an effective and detail oriented manner both orally and written<br>• Detail oriented with strong troubleshooting and problem solving skills<br>• Experience with tax tools, applications, and relevant financial systems (including One-Source Income Tax and One-Source Tax Provision).<br>• Ability to maintain positive, detail oriented attitude in a fast paced and rapidly changing environment<br><br>Job Qualifications:<br><br>• Bachelors Degree preferred in Accounting or Finance; Masters degree preferred<br>• 2 – 4 years of experience in Big 4 public accounting firm, corporate tax department of publicly traded corporation or combination thereof<br>• One-Source Income Tax software experience preferred<br>• CPA or on path to CPAAccounts Payable Supervisor/Manager<p>We are in search of an Accounts Payable Supervisor/Manager to join our operations in Collierville, Tennessee. The role involves supervising and performing hands-on accounts payable tasks, overseeing the team, and ensuring full cycle AP processes are carried out efficiently.</p><p><br></p><p>Responsibilities:</p><p>• Supervise the accounts payable team and ensure efficient work delivery</p><p>• Handle full-cycle accounts payable processes</p><p>• Utilize accounting software systems effectively for data processing</p><p>• Ensure accurate account coding in all transactions</p><p>• Conduct regular auditing to maintain the integrity of financial data</p><p>• Oversee and manage the use of the Automated Clearing House (ACH)</p><p>• • Execute accounting functions in accordance with the accrual accounting method</p><p>• Use Concur for travel and expense management</p><p>• Resolve any accounts payable related issues promptly and efficiently</p>