Thorek/Scott and Partners (TSP) has been connecting accomplished organizations with talented individuals for almost four decades. At TSP, our track record of successfully completing challenging searches across the professional spectrum has earned us an exceptional reputation at the forefront of the recruitment industry. Our Canadian and International clients include: global banks and non-bank financial institutions, private equity and investment funds, professional service firms, and entrepreneurial businesses in a variety of industries. We value the human connection and distinguish ourselves through an unwavering dedication to understanding the goals and motivations of our clients and candidates alike. Our client is a long-established publicly traded real estate debt and equity investor. Deposit-taking with a sizable balance sheet, they focus on multiple strategies including residential and construction financing as well as other broader equity investments. Position Overview Currently, they are seeking a Vice President, Capital Markets & Treasury & Capital Markets to lead this function within the organization. Reporting to the CFO, this individual will drive key decisions that optimize the balance sheet, strengthen financial resilience, and unlock strategic opportunities across the business. This role will focus on guiding capital markets initiatives, shaping funding strategies, and collaborating closely with senior leadership to ensure the organization is positioned well for both growth and stability. The VP will be responsible for planning, managing, and monitoring the Companys funding and liquidity risk management, interest rate risk management strategies, and capital market activities with the goal of optimizing the balance sheet to preserve earnings and shareholder value. This is a rare opportunity to make a tangible impact within a top-tier organization. The Vice President will be instrumental in shaping strategic funding and capital decisions, driving initiatives that enhance the Companys financial flexibility, and partnering across the enterprise to deliver results that matter for both growth and resilience. Role Responsibilities Lead the development and execution of the Companys treasury and capital market strategy, including funding, liquidity, and interest rate risk management. Partner with the CFO to shape funding, liquidity, capital planning, and interest rate risk strategies. Responsible for overseeing and executing the Companys Asset Liability Management Function (ALM) and all treasury operations in alignment with regulatory requirements and risk appetite. These comprise cash management, deposit pricing, hedging and securitization activities. Lead the Companys capital markets function, including the development and execution of structured financing initiatives such as Asset-Backed Commercial Paper (ABCP) conduits, management of relationships with credit rating agencies, and oversight of bank relationship management. Drive structured financing initiatives, including securitizations and innovative funding solutions. Maintain strategic banking and rating agency relationships and lead credit reviews. Monitor and manage funding, liquidity, and interest rate risks in line with regulatory and governance standards. Deliver timely insights and reporting to the Board, regulators, and senior leadership. Enhance Treasury operations, internal controls, and financial analytics to support business objectives. Participate in ALCO, Deposit Rate Setting, and Pricing Committees to guide key financial decisions. Build and lead a high-performing team, fostering a strong risk culture. Balance shortterm operational demands with longterm planning to ensure liquidity, capital adequacy, and strategic flexibility. Desired Qualifications CPA, CFA or CA designation preferred. 10+ years of experience in banking or financial services, with progressive responsibility in capital management, treasury or corporate finance. Significant track record in devising and implementing sophisticated funding strategies within a financial services environment. Securitization expertise is a requirement. Experience navigating regulatory environments (OSFI, FSRA, TSX, OSC, CDIC, etc.) as well as capital market, treasury management and banking industry regulations. Excellent stakeholder management and communication skills, with experience presenting to senior executives and boards. Please note that at present, legal eligibility to work in Canada is a prerequisite for this role. We appreciate your interest in this role. In sharing your resume, you place your trust in us to treat you with integrity and respect and act in your best interests. All resumes will be held in the strictest of confidence. Those who most closely meet our clients requirements will be contacted for an interview. Please pass this opportunity forward. We welcome all referrals should someone in your network benefit from this opportunity. #J-18808-Ljbffr
Job Title
Vice President, Capital Markets and Treasury