Job Description
Our client, an established and growing real estate development company, has an immediate opportunity for a Director of Capital, Investment and Treasury to join their team! Reporting to the VP Finance, this position is a hands-on role responsible for developing, executing, and overseeing all financing strategies for the organization. The successful candidate will lead the sourcing, negotiation, and management of debt facilities across the company’s portfolio, including land acquisition loans, construction financing, term / operating facilities, and corporate credit structures. Please note this is an in-office position.
Benefits of working for our client :
- Exciting opportunity to join an established and growing company
- Competitive compensation and benefits
- Professional growth and development
This is an exciting opportunity to become part of dynamic and growing company in the local area! Interested and qualified candidates, please apply today or email Antonia directly quoting job #6789. We would like to thank all applicants however only those under consideration will be contacted.
Responsibilities include :
Take a hands-on approach to leading the company’s overall debt and capital strategy, ensuring optimal financing structures for all development and acquisition initiativesSecure land acquisition loans, construction loans, bridge financing, CMHC programs, term loans, as well as revolving and operating facilitiesBuild, maintain, and grow relationships with lenders, including banks, pension funds, credit unions, private lenders, and institutional capital partnersMonitor covenant compliance, liquidity, and treasury risk across the portfolioLead and prepare financial feasibility modeling for all new developments, acquisitions, and joint-venture opportunitiesProduce detailed pro formas, sensitivity analyses, scenario planning, and return-on-investment metricsPrepare internal investment memos and present findings to senior leadership and ownershipOversee corporate treasury functions including cash management, working capital optimization and forecastingManage banking relationships and treasury operations, including credit facilities, cash sweeps, and accounts managementSupport corporate budgeting, long-term financial planning, and liquidity management
Qualifications :
Candidates must possess 10+ years of progressive experience in real estate finance, development capital markets, treasury management or related fieldsProven track record securing complex real estate financing (land, construction, term debt, CMHC, bridge etc.) is requiredDeep understanding of underwriting, capital structuring, and deal execution will ensure success in this positionAdvanced proficiency in real estate financial modeling and Excel-based pro formas is requiredExceptional communication and negotiation skills with established lender relationshipsExperience working within a high-growth real estate developer, REIT, or investment platform is preferredCPA, CFA, MBA, or similar financial designation is an assetThis is an in-office position
This posting is for an open vacancy currently available within our client's organization. Interested and qualified candidates please apply today. We would like to thank all applicants however only those under consideration will be contacted.
Please note that we use AI tools as part of our recruitment process to enhance efficiency and improve candidate experience.
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