Capital Markets Analyst
Listed on 2026-08-08
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Finance & Banking
Financial Analyst, Capital Markets, Corporate Finance
Current job opportunities are posted here as they become available.
Reports To:
Senior Vice President, Capital Markets
The Analyst will play a hands-on, support-oriented role in underwriting, analyzing, and monitoring real estate investment opportunities across diverse product types and markets throughout Texas and the Southeast. Working directly with the Senior Vice President and alongside senior investment professionals, the Analyst will support acquisitions, developments, financing activities, asset management initiatives, and capital raising efforts, serving as a key analytical contributor to the investment process.
The role offers exposure to a broad range of asset classes and to primary, secondary, and tertiary markets across the region.
This role requires a highly analytical individual with strong financial modeling capabilities, a solid foundation in real estate investment concepts, and the ability to manage multiple work streams in a fast-paced environment. The Analyst will be responsible for building and maintaining financial models, supporting diligence efforts, and preparing analyses that inform investment decisions, working closely with internal teams and—under the direction of senior staff—with lenders, investors, brokers, and operating partners.
The position offers meaningful exposure to the capital markets process, including supporting the preparation and presentation of debt financing opportunities, assisting in the procurement of construction financing, re-financings, and other debt solutions for the firm's investment and development pipeline, and contributing to equity capital raising initiatives and investor presentations. The Analyst will gain hands-on experience across the full capital stack while developing the skills needed to progress toward greater deal ownership over time.
Key Responsibilities Financial Analysis & Underwriting- Support financial underwriting for acquisitions, developments, recapitalizations, dispositions, joint ventures, and structured investment opportunities.
- Build, maintain, and update financial models across industrial, office, mixed-use, and land investments.
- Analyze investment returns, cash flows, sensitivities, capital structures, financing alternatives, IRRs, equity multiples, and risk-adjusted returns.
- Assist in evaluating investment opportunities across primary, secondary, and tertiary markets throughout Texas and the Southeast.
- Review and help validate underwriting assumptions, market projections, operating forecasts, and development budgets.
- Support the sourcing, evaluation, and analysis of new investment opportunities.
- Assist in preparing investment recommendations for review by senior management.
- Support the review of purchase agreements, joint venture structures, and financing terms.
- Help coordinate transaction activities from initial evaluation through closing.
- Help build and maintain relationships with brokers, owners, lenders, and industry participants to support sourcing initiatives.
- Review leases, operating statements, rent rolls, market studies, third-party reports, development budgets, and financing documents.
- Assist in coordinating internal and external diligence teams, including legal counsel, consultants, lenders, and operating partners.
- Maintain diligence checklists, virtual data rooms, and transaction documentation.
- Support debt placement, equity raising, recapitalization, and refinancing initiatives.
- Assist in maintaining and cultivating relationships with banks, debt funds, life companies, and other capital providers.
- Assist in preparing debt financing packages for acquisition, development, and refinancing opportunities.
- Analyze financing alternatives and help evaluate lender proposals and term sheets.
- Support the development of financing strategies that optimize risk-adjusted investment returns.
- Track debt market conditions, capital flows, and financing trends impacting investment activity.
- Assist in monitoring asset and portfolio performance against underwriting assumptions, business plans, and return objectives.
- Maintain property-level forecasts, valuation models,…
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