Director of Capital Markets shaping financing decisions that support Ventas' operating strategy and growth aspirations. Managing capital raising activities and relationships with lenders and investors.
Responsibilities
Manage Ventas’ secured and construction debt portfolio (approximately $5B), ensuring strong execution and ongoing performance oversight.
Support enterprise-wide debt and equity capital raising efforts across public and private markets, including evaluating, executing and closing financings (secured/unsecured loans, public bonds, and other instruments as needed).
Partner with Asset Management, Acquisitions and the SVP, Capital Markets & Treasury to evaluate financing strategies and drive decision-making through scenario analysis and modeling.
Model and evaluate prepayment, refinancing and financing scenarios to ensure alignment with enterprise strategy and desired capital structure outcomes.
Maintain an active view of market conditions and developments in capital markets, translating trends into practical recommendations and execution approaches.
Lead end-to-end execution for secured financings, including preparing collateral packages, building cash flow/financing models and developing loan packages and lender presentations.
Drive deal structuring, analysis, and negotiation of terms to achieve targeted financial results and business outcomes.
Work closely with internal and external Legal partners to negotiate and finalize financing documentation – balancing risk, flexibility and enforceability of terms.
Partner closely with Asset Management to negotiate and operationalize loan terms and covenants – ensuring the business context is understood before agreeing to constraints, triggers, reporting requirements and other ongoing obligations.
Coordinate and manage all internal and external constituents throughout the loan closing process, ensuring details are accurate and the right mechanics are in place for efficient ongoing administration.
Own and improve internal processes for monthly/quarterly reporting; coordinate and deliver covenant reporting, compliance and financial reporting to banks and lending institutions.
Deliver ad hoc work as needed, including treasury transaction models, cash flows, analytics and reporting to support decision-making and execution priorities.
Cultivate and manage relationships with lenders, investors, financial institutions and rating agencies, acting as a central point of contact for information requests and communications.
Manage stakeholder complexity across external parties, including JV partners who provide input into financing decisions – ensuring clear alignment, timely communication and disciplined process management.
Requirements
Minimum of 10 years progressive experience negotiating and underwriting commercial real estate loans and capital markets issuance
Experience with Fannie Mae and Freddie Mac and knowledge of healthcare or senior housing preferred
Successful track record of thriving in a dynamic, fast-paced and changing environment that is results oriented and collaborative
Ability to communicate with clarity and influence across senior internal stakeholders and external partners to drive alignment and informed decision making
Must be located in Chicago, IL, Louisville, KY or New York, NY surrounding area or willing to relocate for the duration of employment
Willingness to adapt and thrive in a blended work environment with 3 days in office
Ability to travel as needed based on business priorities, typically 2–3 times per quarter
Must be legally authorized to work in the United States without need for employer sponsorship now or in the future.
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