QCR Holdings
Jobs at QCR Holdings
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Recently posted jobs
Financial Services
Provide accounting support for assigned banks and subsidiaries including journal entries, reconciliations, investment and bond portfolio accounting, regulatory and Sarbanes-Oxley compliance, and financial reporting. Serve as a resource and backup for shared services and controllers, assist with audits, process improvements, and special projects, and ensure accuracy, timeliness, and adherence to GAAP and internal controls.
Financial Services
Sell and support treasury management products to business clients through consultative analysis, pricing, proposals, implementations, and training. Identify cross-sell opportunities, ensure product integration and regulatory compliance, monitor profitability and account analysis, and participate in community/business development activities.
Financial Services
Owner of marketing governance and content oversight, ensuring materials meet brand, regulatory, and strategic standards. Manages marketing workflows, executes campaigns, produces video content, supports events, website maintenance/SEO, social media growth, vendor relationships, app store updates, and coordinates with Compliance and enterprise marketing teams.
Financial Services
Lead strategic direction and operations of the Wealth Management department, drive growth and profitability, manage P&L, oversee investment and trust services, ensure compliance and risk management, build relationships and business development, hire and develop staff, collaborate on marketing and product strategy, and report to executive committees.
Financial Services
Support investment research and recordkeeping, use Bloomberg and analytic tools, prepare client investment reports, trade fixed income and equity under CIO direction, mentor team members, and ensure regulatory compliance.
Financial Services
Provide advanced analytical support for Credit Administration including preparing and reviewing quarterly Allowance for Credit Losses (ACL) calculations, documenting qualitative adjustments, preparing committee materials and reports, maintaining credit policies and SOX control documentation, and delivering loan and asset-quality reporting to management and the board.



