Manager, Capital Markets

Posted 21 Days Ago
Be an Early Applicant
Headquarters, AZ
5-7 Years Experience
Information Technology
The Role
The Manager in Capital Markets will provide analytical support for corporate finance, strategic financing initiatives, and capital markets activities. Responsibilities include underwriting, debt covenant compliance, budgeting, forecasting, business intelligence, and investor relations. They will also assist in optimizing the organization's capital structure and supporting financing requirements through existing facilities and new financing alternatives.
Summary Generated by Built In

The Manager will be responsible for providing analytical support for the Company’s corporate finance, strategic financing initiatives, and capital markets activities, including underwriting and preparation of financing packages, debt covenant compliance and reporting, budgeting and forecasting, business intelligence, and investor relations activities. The person in this role will also assist in supporting the company’s financing requirements, both through the utilization of existing committed facilities and the evaluation and execution of new financing alternatives.

Essential Job Duties and Responsibilities

  • Develop and implement strategies to optimize the organization's capital structure;
  • Manage the preparation of presentation materials for the Company’s Senior Management Team, Board of Directors, current and/or potential investors, and current and/or potential lenders.
  • Analytical support of all financing-related activities, including Excel modeling, report generation, and coordinating with the Asset Management, Operations and Accounting teams to review and analyze, asset-level and corporate financial results and operating performance metrics and communicate those to the various lending groups.
  • Build underwriting and financial models to support various types of debt financing structures including key metrics/terms and covenants.
  • Work with senior members of the Capital Markets team to ensure compliance with lender and/or servicer requirements and debt covenants, including creation of all necessary reporting.
  • Prepare and maintain comprehensive debt-related documentation, including offering memoranda, term sheets, and financial reports.
  • Work through monthly funding requests under financing agreements, including associated documentation requirements.
  • Build and maintain relationships with key internal and external partners, including financial institutions, sponsors, loan servicers, legal counsel, and others.
  • Implement technology solutions and processes to streamline Capital Markets activities
  • Prepare and execute hedging strategies ranging from FX and interest rate risk management and monthly settlements.
  • Other job duties as required

Education and/or Experience

  • Bachelor’s Degree in Finance or related field. 
  • Minimum 5-7 years experience required; financial modeling and/or real estate focus required.
  • Investment banking, debt capital markets, corporate capital markets, private equity, finance, and/or accounting experience preferred.
  • Familiarity with various real estate and infrastructure debt financing structures, including securitizations required.

Skills/Specialized Knowledge

  • High degree of proficiency with Excel required, including comfort and familiarity with advanced Excel functions. 
  • Proficiency with all Microsoft Office applications, including Word and PowerPoint, required.
  • Extremely well-developed analytical abilities, problem solving skills, and attention to detail.
  • High degree of intellectual curiosity.
  • Excellent organizational skills; ability to manage multiple competing priorities and deadlines.
  • Excellent written and verbal communication skills.
  • Outstanding interpersonal skills with a team-oriented mentality and ability to maintain confidentiality.
  • Must be a self-starter with a strong sense of ownership.
  • Comfort and familiarity with basic finance and accounting theory including reading and comprehending financial statements.
  • Strong work ethic and commitment to operational excellence with the ability to succeed and thrive in a fast-paced environment.
  • Adaptable to changing work environment and shifting priorities.
  • Ability to effectively engage employees and build relationships across the company at all levels.

CyrusOne is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, sex, sexual orientation, gender identity, religion, national origin, disability, veteran status, or other legally protected status.

CyrusOne provides reasonable accommodation for qualified individuals with disabilities in accordance with the Americans with Disabilities Act (ADA) and any other state or local laws. We will respond to requests for reasonable accommodations to assist you in applying for positions at CyrusOne, or to submit a resume.

Top Skills

Excel
The Company
HQ: Dallas, TX
527 Employees
On-site Workplace
Year Founded: 2000

What We Do

CyrusOne provides data center, managed hosting, colocation and managed IT services in North America and Europe.

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