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Director Financing and Debt Capital Markets - Hybrid
Job in
Nashville, Davidson County, Tennessee, 37247, USA
Listed on 2026-08-01
Listing for:
Surgery Partners, Inc
Full Time
position Listed on 2026-08-01
Job specializations:
-
Finance & Banking
Corporate Finance, Risk Manager/Analyst, Capital Markets
Job Description & How to Apply Below
This is a hybrid position based at our corporate office located in Brentwood, TN, with on-site work required Monday through Wednesday.
Key Responsibilities Facility Loan Program Management- Lead the end‑to‑end facility loan program, including financing requests, diligence responses, lender Q&A, term sheet comparison, legal review, funding, compliance, and operational handoff.
- Support negotiating of key financing terms, including pricing, baskets, guarantees, draw mechanics, reserve requirements, reporting obligations and covenant frameworks.
- Partner with divisional CFOs and operations leaders to evaluate lender bids, communicate updates, and guide financing decisions.
- Maintain a pipeline of centers needing financing, oversee new loan originations, and develop new banking relationships.
- Provide training and process leadership to regional teams and serve as the primary escalation and support resource for Treasury teammates.
- Lead strategic planning and execution of corporate debt transactions, including new issuances, refinancings, amendments, and restructurings.
- Manage relationships with lenders, bondholders, rating agencies, and investment banks.
- Oversee all corporate debt service, covenant compliance, and related reporting.
- Maintain financial models, forecasts, and scenario analyses to support capital structure decisions.
- Monitor market trends and recommend strategies to optimize cost of capital, leverage, and liquidity.
- Partner with Accounting, FP&A, and Legal to ensure accurate reporting, SOX-compliant processes, and timely deliveries.
- Develop and implement strategies to manage exposure to interest rate, liquidity, and credit risk.
- Evaluate and execute hedging strategies (e.g., interest rate swaps, caps) in coordination with external financial partners.
- Support working capital improvement initiatives and broader Treasury optimization efforts.
- Maintain strong governance, internal controls, and policy compliance.
- Serve as a key business partner to Finance, Accounting, Legal, and Operations leaders on matters related to capital structure and risk management.
- Provide thought leadership and analysis to support executive decision-making and Board-level reporting.
- Mentor and guide treasury and finance team members fostering functional depth, analytical capability and operational excellence.
- Bachelor’s degree in Finance, Accounting, Economics, or related field required; MBA or CTP preferred.
- 8–10+ years of progressive corporate finance, treasury, or investment banking experience with a focus on debt capital markets and risk management.
- Experience managing loan programs, partnership financing structures, corporate debt portfolios, and multi-entity credit portfolios strongly preferred.
- Healthcare, leveraged environments, or ASC experience is a plus.
- Deep understanding of capital markets, credit agreements, and financial instruments.
- Strong financial modeling, analytical, and quantitative skills.
- Excellent written and verbal communication skills; ability to interact effectively with executive leadership and external partners.
- Strong organizational skills and attention to detail, with the ability to manage multiple priorities in a fast-paced environment.
- Demonstrated leadership, integrity, and business acumen.
- Hybrid work environment with limited travel.
- Extended hours may be required during transaction-heavy periods.
Surgery Partners is an equal opportunity employer. We value diversity and are committed to fostering an inclusive environment that supports innovation, collaboration, and professional growth.
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