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Corporate Finance Manager Jobs

22 Job Offers

Senior Manager, Corporate Finance
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Lead our global capital markets strategy as a Senior Corporate Finance Manager in Columbus. You will manage FX risk, debt raising, and derivative portfolios while guiding a team. Requires 10+ years in corporate finance, including 5+ in management, with expertise in U.S. and Japanese financial mar...
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United States , Columbus
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Salary
185460.00 - 190000.00 USD / Year
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Aflac
Expiration Date
Until further notice
Corporate Finance Manager
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Join our growing Corporate Finance team in Newcastle. As an ACA/ACCA qualified manager, you'll lead projects in M&A, valuations, and fundraising. You'll build client relationships and prepare key financial models and reports. We offer a supportive, local culture with national network backing.
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United Kingdom , Newcastle Upon Tyne
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Not provided
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Sumer Group
Expiration Date
Until further notice

About the Corporate Finance Manager role

A Corporate Finance Manager is a pivotal strategic and financial leader within an organization, responsible for optimizing the company’s capital structure, managing liquidity, and executing high-impact transactions that drive growth. Professionals in these **jobs** act as the bridge between a company’s operational goals and its financial strategy, ensuring that every major decision is backed by robust analysis and sound funding. Their work is inherently cross-functional, requiring deep collaboration with executive leadership, legal teams, and external financial institutions.

The core responsibilities of a Corporate Finance Manager are diverse and demanding. A primary function is capital management, which involves determining the optimal mix of debt and equity to fund operations and expansion. This includes leading debt raising and refinancing initiatives, managing relationships with banks and lenders, and negotiating favorable terms for credit facilities. They are also heavily involved in mergers and acquisitions (M&A), joint ventures, and strategic investments, guiding the entire process from initial feasibility studies and financial modeling through due diligence, valuation, and deal execution. A significant portion of the role is dedicated to treasury operations, including cash flow forecasting, liquidity planning, and managing financial risks such as interest rate and foreign exchange exposure. They develop and implement hedging strategies to protect the company’s balance sheet and ensure compliance with all financing covenants and regulatory requirements.

To succeed in these **jobs**, a candidate must possess a formidable combination of technical acumen and strategic thinking. Exceptional financial modeling skills are non-negotiable, as these professionals build complex models to evaluate investment opportunities, project cash flows, and assess the financial impact of various scenarios. A deep understanding of accounting principles, financial statements, and valuation methodologies (such as DCF and comparable analysis) is essential. Furthermore, strong project management skills are required to oversee multiple, time-sensitive transactions simultaneously. On the soft skills side, the role demands outstanding communication and presentation abilities to articulate complex financial analyses to senior management and external stakeholders, including boards of directors and rating agencies. The ability to negotiate effectively and build trusted relationships with banks, investors, and advisors is also critical.

Typical requirements for these **jobs** include a bachelor’s degree in Finance, Accounting, or Economics, with a master’s degree (like an MBA) or professional certifications (such as CFA or CPA) highly preferred. Employers generally seek candidates with 5-10+ years of progressive experience in corporate finance, investment banking, or transaction services. A proven track record in debt financing, M&A execution, and treasury management is a common prerequisite. Ultimately, the Corporate Finance Manager is a key architect of a company’s financial future, ensuring it has the capital, structure, and strategic vision to seize opportunities and navigate market challenges.