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Open nowPosted 5 days ago

Financing Analyst - Montreal

groupemach13 open roles

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630 Rue St-Paul Ouest #300, Montréal, QC H3C 1L9, Canada
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Your applicationOpen nowFinancing Analyst - Montrealgroupemach · 630 Rue St-Paul Ouest #300, Montréal, QC H3C 1L9, Canada
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  2. 3.4%3 days
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  4. 14.3%14 days
  5. 33.7%30 days
This job: posted 5 days ago

The posting

Join a dynamic team at one of Canada’s largest private real estate owners! Reporting directly to the Vice President, Financing, you will play a key role in structuring and optimizing financing arrangements for major real estate projects. This position is ideal for a professional with a strong passion for financial markets, real estate, and the structuring of complex investment solutions.  

Structure and optimize financing solutions: Analyze and propose financing strategies tailored to complex investments, combining various types of debt and interest rate structures to maximize returns. Collaborate with development teams: Actively participate in the financial modeling and evaluation of projects to secure financing aligned with strategic objectives. Monitor disbursements and KPIs: Manage monthly construction-related disbursements in coordination with lenders and cost consultants, while monitoring key performance indicators (KPIs) and profitability. Support acquisitions: Work closely with the acquisitions team to identify optimal financing structures and lead the financing side of transaction closings. Advanced financial modeling: Develop sophisticated financial models to forecast asset performance, identify refinancing opportunities, and support strategic decision-making. Negotiate with global financial partners: Negotiate competitive financing terms with lenders and international financial institutions. Analysis and reporting: Monitor the evolution of the debt portfolio and prepare rigorous analytical reports for internal and external stakeholders. Communication and coordination: Maintain effective communication with external consultants, including appraisers, engineers, and capital markets professionals, as well as other stakeholders, to ensure the successful execution of projects. Strategic market monitoring: Continuously monitor economic trends, interest rate fluctuations, regulatory developments, and real estate market dynamics to anticipate their impact on financing activities.

Qualifications :

Bachelor’s degree in Finance, Accounting, Financial Engineering, or a related field; a specialization in Real Estate would be considered an asset. 2 to 4 years of relevant experience in real estate finance, debt structuring, or financial analysis. Advanced proficiency in Excel and financial modeling tools; experience with Argus or other specialized software would be considered an asset. Excellent negotiation, analytical, and complex problem-solving skills. Ability to work under pressure and manage multiple files simultaneously in a fast-paced and evolving environment. Strong client focus and team-oriented mindset, with a proven ability to collaborate effectively with internal and external stakeholders.

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