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Director, Capital Markets
Rumble. Develop and execute capital-markets strategies supporting growth plans, operating needs, acquisitions, refinancing, capital investments, and long-term capital-structure objectives.
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in capital markets strategies, financing transactions, and financial risk management, with a strong focus on liquidity management and capital structure planning. Proven ability to lead teams, communicate effectively with stakeholders, and improve financial processes and models.
Highest-signal resume keywords
Capital Markets StrategiesDebt And Equity FinancingFinancial ModelingLiquidity ManagementExecutive Communication
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Financial AnalysisDebt StructuringEquity StructuringValuation TechniquesCash Flow ForecastingCovenant ManagementFinancial Risk ManagementCapital Structure PlanningNegotiation SkillsAnalytical Capabilities
Soft Skills
Relationship ManagementStakeholder InfluencingAttention To DetailSound JudgmentTeam Leadership
Tools & Technologies
ExcelPowerPointFinancial-Planning ToolsTreasury-Management SystemsERP Systems
Industry Keywords
Capital MarketsCorporate FinanceInvestment BankingPrivate EquityCommercial BankingFinancial CovenantsLender ReportingMarket ConditionsBorrowing CostsFinancial Instruments
Tech Stack
Tools & technologiesERP
About the role
Key responsibilities & impact- Develop and execute capital-markets strategies supporting growth plans, operating needs, acquisitions, refinancing, capital investments, and long-term capital-structure objectives.
- Evaluate financing alternatives and recommend mixes of debt, equity, structured financing, leasing, asset-backed financing, private placements, revolving credit facilities, and other funding sources.
- Lead the structuring, negotiation, diligence, and execution of financing transactions, including credit facilities, term loans, notes, letters of credit, guarantees, and other debt or capital instruments.
- Oversee liquidity and capital-structure planning, including cash-flow forecasting, borrowing capacity, debt-service obligations, working-capital needs, debt maturities, covenant headroom, and contingency funding plans.
- Monitor market conditions, borrowing costs, leverage, interest expense, credit metrics, refinancing risk, and other financial exposures.
- Partner with Treasury and Accounting on reporting, accounting treatment, disclosures, controls, and audit readiness.
- Build and maintain relationships with banks, lenders, institutional investors, private-credit providers, rating agencies, underwriters, legal counsel, and financial advisors.
- Lead lender, investor, and rating-agency communications, including financial models, diligence materials, presentations, and executive or Board-level recommendations.
- Partner with Finance, Treasury, Accounting, Legal, Corporate Development, Investor Relations, and business leaders on financing strategy, acquisitions, capital allocation, transaction execution, and financial risk management.
- Lead, develop, and mentor the Capital Markets team.
- Improve capital-markets processes, financial models, reporting, governance, controls, and documentation.
Requirements
What you’ll need- Bachelor’s degree in Finance, Accounting, Economics, Business, or a related quantitative discipline.
- 8–12+ years of progressively responsible experience in capital markets, treasury, corporate finance, investment banking, private equity, corporate development, commercial banking, or a related field.
- Demonstrated experience evaluating, structuring, negotiating, and executing debt, equity, or other financing transactions.
- Experience managing liquidity, debt facilities, capital structure, financial covenants, lender reporting, and external financing relationships.
- Strong knowledge of capital-markets instruments, financing structures, debt-market dynamics, financial risk management, and capital-structure planning.
- Advanced financial-modeling, valuation, scenario-planning, and analytical capabilities.
- Experience evaluating financing alternatives, debt capacity, covenant headroom, borrowing costs, interest-rate exposure, and liquidity implications.
- Strong proficiency with Excel, PowerPoint, financial-planning tools, treasury-management systems, and ERP systems.
- Proven ability to manage complex financing workstreams and coordinate internal stakeholders, lenders, investors, advisors, and legal counsel from initial analysis through closing and post-close compliance.
- Strong executive communication skills, including the ability to present complex financial matters clearly to senior leaders, Boards, lenders, investors, and external advisors.
- Highly developed negotiation, relationship-management, stakeholder-influencing, and sound-judgment skills.
- Strong attention to detail and a disciplined approach to controls, confidentiality, documentation, and financial risk.
- EEO and e-verify participation are stated by the employer.
Benefits
Comp & perks- Benefits
- Equity
- Competitive salaries
- Great benefits