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Current Positions:

Corporate One Credit Union: Financial Analyst I

IGS Energy: Accounting Manager / Accountant

OCLC:  Sr. Manager Treasury and Risk Management

National Church Residences:  Treasury Coordinator

PMG Employment Consultants: Sr Manager, Treasury & Risk Management


Corporate One Credit Union


Financial Analyst I


Description: Supports member facing Asset Liability Management products and services. This includes data gathering and validation, model preparation, data loading, reconciliation, results analysis and report preparation with draft conclusions.


To Apply: (feel free to enter Jennifer Morrison in Referral Field)


For additional information:



IGS Energy


Accounting Manager


Description: This role is for an accounting manager that will be responsible for managing and providing leadership within the accounting department. The accounting manager will ensure the department’s timely and accurate completion and reporting of financial information.  This position directly supervises staff responsible for journal entry preparation, account reconciliations, business liaison support, monthly analytics and audit preparation




Description: This position provides general accounting, commodities accounting, and financial reporting for the organization.  Responsibilities include reconciliations, journal entries, monthly revenue and cost of sales accounting for commodities, day to day accounting support, assisting in month-end and annual close processes, and special projects.  In addition, the position will be expected to contribute to the design and effectiveness of appropriate internal control policies and procedures and ongoing compliance.


Senior Data Analyst


Description: Responsible for providing data driven analytics and actionable insights to

support internal business partners at an Enterprise level.


For Further Information and To Apply:




Sr. Manager Treasury and Risk Management


Description: Provides input to and helps create the strategic goals for the Finance team in the Treasury and Risk Management area. • Treasury – directs and coordinates daily cash management including global cash balance reporting, cash forecasting, bank account management, and daily support to cash receipts and payment. • Investments – responsible for monitoring the recording of transactions, monitoring and analysis of portfolio performance reporting, and working with OCLC staff and investment advisors to ensure the portfolio is properly maintained. • Debt – responsible for monitoring the ongoing servicing of OCLC’s debt portfolio, including compliance with covenants and associated reporting. • Insurance – responsible for ensuring the daily operational needs are met, as well as assisting with the annual insurance renewal process. • Assist management in the assessment of financial controls.


To Apply:


For further information: Carol Gregory, Sr. Talent Acquisition Specialist



National Church Residences


Treasury Coordinator 


Key skills/traits:Ability and desire to work efficiently in a fast-paced environment where accuracy, multi-tasking, and time management are critical.
Must understand sense of urgency and be able to juggle multiple time sensitive priorities to meet deadlines.
Strong organizational, communication/interpersonal, customer service skills.
Strong analytical and problem solving skills.
Detail oriented and ability to learn quickly and think on your feet.
Excellent computer skills including proficiency in Windows, Microsoft Office Suite. Strong
Strong Excel skills, understanding of basic banking terminology, ACH and wire processing, and/or experience with banking and cash management systems are a plus.


For Job Description and to Apply:


For further information: Ann Napoletan 



PMG Employment Consultants


Sr Manager, Treasury & Risk Management


Job Summary: Reporting to the Director of Finance responsible for Treasury, Insurance, and Corporate Real Estate, this position will have direct responsibility for ongoing daily operations of Treasury and Insurance functions. The position will also advise Finance leadership on consolidated cash positions and ensure the efficiency of cash collection and disbursement. In addition, the position will engage on various projects related to Treasury & Insurance, as well as Real Estate (including lease renewals and lease negotiations) and other areas which potentially impact the cash management of the company. The position will work with various staff, Legal, Facilities, and outside suppliers/partners (such as banks, insurance, and investment partners) as appropriate.


For more information or to apply:  Email Michael Georgenson at or call/text 614-397-9510








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