Search Finance, Inc.

Search Finance, Inc.

Staffing and Recruiting

Dallas, Texas 1,264 followers

About us

Search Finance, Inc. is a Dallas-based premier recruiting firm specializing in permanent placement for accounting and finance professionals. Since 1995, our team's consultative approach has successfully brought many professionals and companies together. Our goal is to develop long lasting relationships that extend beyond the current job search. Our Search Finance team is comprised of financial recruiting professionals who have extensive experience working and recruiting in public accounting, corporate accounting and corporate finance across all industries. Our professional qualifications have provided us with a strong understanding of the experience required by our clients to fulfill their recruiting needs. Our diverse client base includes Fortune 500, middle market and start-up companies throughout the DFW area. We recruit for all levels of accounting and finance positions across all industries. Areas of focus include: • Real Estate • Investment Banking • Private Equity • Hedge Fund • Investment Management • Manufacturing • Hospitality • Entertainment • Oil & Gas • Not-For-Profit • Retail • Technology • Healthcare • Media • Banking • Restaurant • Pharmaceutical • Public Accounting (Audit and Tax) • Consulting

Website
http://www.searchfinance.net
Industry
Staffing and Recruiting
Company size
2-10 employees
Headquarters
Dallas, Texas
Type
Privately Held
Founded
1999

Locations

  • Primary

    3131 Turtle Creek Blvd, Suite 1022

    Dallas, Texas 75219, US

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Employees at Search Finance, Inc.

Updates

  • View organization page for Search Finance, Inc., graphic

    1,264 followers

    Senior Accountant - Global Advertising Firm - Hybrid Schedule Global company located in central Dallas has an opening for a Senior Accountant. Great perks including very casual culture, excellent work/life balance and a hybrid work schedule. Will get exposure to many aspects of accounting and have excellent visibility with all levels of the organization. Responsibilities include: Participate in month-end close process Prepare & review monthly financial reporting schedules Prepare and review journal entries Review Trial Balance and monthly account reconciliations Reconcile & record activity posted through intercompany accounts Provide financial information to internal and external auditors This person will be an important member of the finance & accounting team and will assist in completing various accounting initiatives. The company offers a competitive salary in a casual environment with a outstanding benefits and a hybrid work schedule. Requirements: Bachelor’s degree in Accounting Minimum 3 years of experience Proficient in Microsoft Excel Solid organization skills with ability to multi-task Strong interpersonal skills, including written and oral communication skills

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    Corporate Tax Senior – Global Fortune 50 Company – 4 Days Remote Our client, a Global Fortune 50 Company based in the Dallas area is looking to add a Tax Senior to their corporate tax team. The ideal profile is 2-4 years of US corporate income tax experience, with a CPA or pursuing preferred. This Senior Tax Accountant will assist in the preparation of the consolidated federal tax return, as well as state tax returns. Additionally, will assist with state and local audits, IRS procedures and with automation and process improvement projects. Company Insight / Benefits: Company is fantastic about promoting internally and offers the opportunity to grow within tax or into other areas of the organization, depending on someone’s area of interest Great work/life balance: 40-45 hour weeks Hybrid work schedule: 4 days per week remote / 1 in office Tight-knit group with wonderful leadership team Company is very strong financially and is growing both organically and through major acquisitions. Company offers world class benefits

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    Finance Manager - High Growth Company - Directly supports CFO Our client, a high growth real estate development company located in the mid-cities area of DFW is looking for a Finance Manager. Reporting directly to the CFO, this person will be a key member of the Finance team and act as the lead for report development. Will lead the annual budgeting and forecasting process, assist with strategic planning and provide forecasting analysis for entry into new markets, in addition to other ad-hoc analyses. The ideal candidate will have solid financial modeling experience, along with expert level Excel and Access skills. Insight: Company is highly profitable and growing both organically and through acquisitions. Position directly supports the CFO and other c-suite executives. This CFO is fantastic to work for. Great mentor and leader. Will supervise 1 Financial Analyst. Requirements: 5+ years of financial analysis / business analysis experience. Expert level Excel skills, with strong Access and SQL experience required Financial modeling experience required. BBA in Finance or Accounting Responsibilities include: * Lead the Company’s annual budget and Mid-Year Reforecast processes including meeting with Department Heads to improve accuracy off results. * Assist CFO in Forecasting analysis for entry into other markets. * Assist CFO with upcoming acquisitions. * Assist CFO with improving controls and policies and assist VP of Operations in monitoring compliance. * Prepare and distribute reports to various departments on an ongoing and recurring basis, * Work cross-departmentally to understand business requirements and functional specifications for report design and development as needed. Future creation of dashboard type reporting tool that can be distributed on a timely and recurring basis with assistance from CFO. * Create reports and improve on existing reports to help Management maximize collective experience in making decisions related to the business. * Provide analysis and information to Management on special projects as requested. * Assist in selection and lead implementation of new Forecasting software.

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    Manager or Director of Financial Planning & Analysis – High Growth Hospitality Co. – Reports to CFO   Our client, a high growth company in the hospitality space is looking for a Manager or Director of Financial Planning & Analysis for their North Dallas-based finance team. This newly created role reports directly to the CFO and is a blend of FP&A and deal planning/execution. This individual will help manage all board reports, pitch decks for new investments, financial analysis, bank decks, bank compliance reporting, and cash flow forecasting.   Insight: High exposure role that directly supports the CFO. Ideal profile is 2+ years of i-banking, deal advisory, private equity or FP&A experience, with experience putting together pitch decks and board decks. Hospitality experience is a plus, but not required.   Responsibilities: Develop complete board packages for each brand on a monthly and quarterly basis Prepare cash flow forecast/budget package and long range plan Develop pitch decks for new investments and prepare presentations for board meetings Assist with strategic capital raising efforts Provide investor relations support Conduct ad-hoc analyses related to operating strategies, investment recommendations, and new business opportunities Support the analytical requirements of the business and pro-actively challenge the status quo by introducing new analyses and insights   Qualifications 2+ years of investment banking, private equity, deal advisory, finance, strategy or similar Bachelors in Finance, Economics or similar quantitative field Advanced Excel skills, including creating financial models from scratch  Experience with deck design Experience with cash flow modeling (DCF-ROI) Strong critical thinking skills Hospitality experience preferred, but not required

  • View organization page for Search Finance, Inc., graphic

    1,264 followers

    Accounting Manager opening – Global Asset Management Firm – 3 Days Remote / 28 Days PTO   Our long-term client, a large Global Asset Management Firm located in Dallas is searching for an Accounting Manager for their Asset Management team. This position will assist with all aspects of reporting and accounting the firm’s asset management funds and separately managed accounts.   Insight / Benefits: * Permanent hybrid schedule - 3 days remote. * 28 days PTO, plus 13 paid holidays * Lucrative compensation package includes 20% annual bonus. * Very good work/life balance. * 14 weeks maternity leave / 6 weeks paid paternity leave * Outstanding promotion potential, both within the current group/business unit, as well as into other business units. * Very positive and tight-knit culture. We have been recruiting for this company for 20 years and people love working there.   Responsibilities include: * Oversee and administer financial and accounting functions including financial reporting, budgeting and forecasting * Review 3rd party Fund Admin work and confirm accuracy * Create and maintain line of business budgets and forecasts * Create/modify complex waterfall calculations at the fund, deal and GP level * Monitor/review portfolio valuations and track fund performance * Perform various other special projects   Requirements: *5-10 years experience in fund administration, real estate or private equity *A foundation in public accounting is a big plus, but not required *BBA in Finance or Accounting *Expertise in partnership accounting and complex waterfall calculations 

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    Commercial Underwriter / Senior Underwriter role in Uptown - Hybrid w/ fantastic culture & excellent growth potential.

    View profile for Elizabeth Hamm, graphic

    Recruiting Director at Search Finance, Inc. - Accounting & Finance [email protected]

    Commercial Underwriter / Senior Underwriter role in Uptown - Hybrid - Fantastic Culture w/ Excellent Growth Potential. Our client, a growing financial services company located in Uptown is searching for Commercial Underwriter or Senior Underwriter to join their commercial finance team. This firm continues to see steady all-around growth and offers excellent exposure with quick growth potential. Additionally, the firm offers a tight-knit, collegial culture, excellent benefits, a hybrid schedule and good work/life balance. The ideal candidate will have commercial credit analysis or underwriting, with C&l and CRE loan experience. Responsibilities include: • Credit Analysis & Underwriting for Commercial loans of different types, industries and degrees of complexity • Financial Statement Spreading • Cash Flow Analvsis • Stress Testing and Sensitivity Analysis • Collateral Analysis • Guarantor Analysis

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