Jobs in Illinois
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- Financial planning & analysis, Illinois 109
- Financial planning & analysis, Manager, United States 60
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Illinois
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Financial planning & analysis
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Manager
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Found 12 Financial planning & analysis, Manager jobs
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Audit Manager, Data Privacy/Protection Risk Management
Ensuring work paper documentation is clear, accurate, supports the reviews performed, and adequately supports decisions.
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Sr. Client Service Manager, Institutional Trust
Develops complete understanding of client's business, objectives, goals, and market challenges with the goal of sharing best practices.
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Sr. Consultant, Risk
Responsible for leading, advising, keeping up with industry best practices, and managing the program or project to a successful delivery.
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Senior Manager Financial Planning and Analysis - Nutrition - Abbott Park
Responsible for financial planning, reporting and analysis to support Abbott Nutrition Supply Chain (ANSC).
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Risk Specialist, Program Manager
Execute and implement programs or projects initiated to deliver new or enhanced strategic risk capabilities or regulatory changes.
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Accounting Manager - Profit in inventory
Perform as necessary accounting integrity checks and reconciliation as it relates to PII related accounts.
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Manager Investment Risk
Lead efforts by identifying, analyzing, and mitigating potential investment risks within established guidelines.
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Risk Manager, Casualty Insurance
Responsible for contributing to the planning and forecasting of the Risk Management Annual Plan.
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Tax Manager, Transfer Pricing
Provide support to regional tax leads and local finance in performing financial/economic analyses and building financial valuation models.
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Category Manager - IT Software
Responsible for contract & price negotiations across the IT Software, Business Applications and Banking and Financial Services categories.
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Senior Consultant Risk- Program Manager
Execute and implement programs or projects initiated to deliver new or enhanced strategic risk capabilities or regulatory changes.
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Manager - Foreign Exchange and Forecast
Collaborates with Treasury and FP&A teams to develop and implement cash flow and balance sheet forecasting models.