Responsibilities
- Lead efforts to raise capital through equity, debt, and hybrid financing to support company growth and strategic goals.
- Build and maintain detailed capital structure models and financing plans that support immediate and future business objectives.
- Manage the negotiation and closing of financing deals with investment banks, lenders, and financial partners.
- Analyze various funding scenarios and assess the pros and cons of different capital sources.
- Track financial markets and macroeconomic shifts to identify potential risks and opportunities in capital markets.
- Deliver strategic analysis on market trends, interest rate movements, investor patterns, and industry competition.
- Guide senior leaders on the best timing and structures for financing activities and capital deployment.
- Oversee forecasting of liquidity and cash flow to maintain sufficient funding for operations and strategic investments.
- Design and manage hedging programs to reduce exposure to interest rate, currency, and other financial risks.
- Ensure adherence to loan covenants, regulatory reporting, and disclosure obligations.
Other
- Occasional strategic travel may be required.
- All hires must confirm identity and work eligibility in the United States and complete the required employment verification form per federal law.
- Applications are welcome even if not all listed qualifications are met.
