SVP, Capital Markets; Debt
Listed on 2026-01-15
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Finance & Banking
Capital Markets, Corporate Finance, Risk Manager/Analyst, Financial Consultant -
Management
Risk Manager/Analyst
SVP, Capital Markets (Debt) | CRE PE | DTLA
We are working with an established, highly successful CRE investment firm (institutional; all product types; national) that is looking for a SVP to lead debt capital markets activities for their multiple fund vehicles, as well as their debt investment management platform.
This is a wide‑breath role that will handle everything from managing an existing multibillion‑dollar debt portfolio, to sourcing new lines of credit on existing funds, to originating new loans for core and value‑add CRE acquisitions and developments. You will also be involved in hedging and derivative activities as well.
This is a firm that continues to raise capital, deploy capital, and outperform its peers year‑over‑year, and this would be an opportunity to be a part of that growth.
Experience- 10-15 years of direct debt capital markets experience, working with a large CRE owner/operator, asset manager, or PE firm
- Bachelor’s degree in RE, Finance, Economics, or similar
- Expert level of experience managing institutional debt portfolios
- Extensive experience structuring/executing senior and mezzanine debt, preferred equity, interest rate hedging strategies, and all other debt instruments
If this sounds like you, please apply, and/or reach out to Alex, at
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