About QuadReal Property Group
QuadReal Property Group is a global real estate investment, operating and development company headquartered in Vancouver, British Columbia. Its assets under management are $94 billion. From its foundation in Canada as a full-service real estate operating company, QuadReal has expanded its capabilities to invest in equity and debt in both the public and private markets. QuadReal invests directly, via programmatic partnerships and through operating platforms in which it holds an ownership interest.
QuadReal seeks to deliver strong investment returns while creating sustainable environments that bring value to the people and communities it serves. Now and for generations to come.
QuadReal: Excellence lives here.
www.quadreal.com
Job Description
The Vice President, Treasury & Capital Markets is a senior leader responsible for overseeing aspects of the organization’s financing strategy, corporate and asset-level debt programs, liquidity management, and treasury operations across a diversified real estate portfolio. This role will provide strategic leadership in optimizing capital structure, accessing debt markets, strengthening banking and investor relationships, and ensuring the organization’s long-term financial flexibility.
As a key leader of the Treasury team, the VP will collaborate closely with Investments, Development, Portfolio Management, Asset Management, FP&A, Legal, and the Executive Team to support acquisitions, development pipelines, major capital projects, and corporate initiatives. The role reports directly to the EVP, Treasury & Capital Markets.
Responsibilities
Capital Markets Strategy & Real Estate Financing
• Lead components of the enterprise-wide financing strategy supporting a multi-asset real estate platform (residential, rental housing, commercial, mixed-use, land, and development) across Canada, US and Europe
• Oversee structuring and execution of unsecured and secured debt transactions, including syndicated and bilateral credit facilities, commercial paper program, corporate bond issuances/MTN program, CMHC-insured loans, construction financing, including deposit protection insurance facilities, term loans, land loans, and pre-development loans
• Optimize debt mix, tenor, and structure to support the development pipeline, capital allocation strategy, and long-term portfolio growth.
• Monitor real estate debt markets and investor sentiment to identify refinancing, hedging, and market-timing opportunities
• Lead sustainable financing platforms including green bond frameworks, sustainability-linked loans, and reporting aligned to sector standards (e.g., BOMA Best, LEED-linked metrics, etc)
• Evaluate capital alternatives to reduce weighted average cost of capital and enhance funding flexibility (e.g., on-lending programs, guarantee structures, refinancing strategies, deleveraging).
Liquidity, Cash Management & Treasury Operations
• Oversee cash, liquidity, and cash flow forecasting activities across operating, development, and investment entities
• Ensure robust liquidity management to support construction pipelines, capital expenditures, land acquisitions, and operating requirements
• Lead enterprise-wide short-term investment strategy and manage excess cash to maximize returns
• Oversee bank administration and cash pooling structures to support a multi-entity real estate structure
• Ensure strong internal controls, process transparency, and compliance across treasury operations
• Champion automation and process improvements to support organizational growth
Real Estate Credit Rating & External Stakeholder Management
• Lead all aspects of rating agency relationship management
• Oversee the legal structuring of borrowing entities to optimize credit ratings and lender requirements
• Manage relationships with 35+ domestic and international lenders involved in real estate financing and unsecured facilities
• Oversee investor relations for fixed-income investors including preparation of materials for ongoing communication on credit, strategy, and investor meetings
Reporting, Governance & Strategic Planning
• Provide Treasury materials for quarterly Board presentations, annual strategy sessions, and major investment decisions
• Oversee debt-related disclosures in various consolidated and pool-level financial statements
• Oversee all lender compliance reporting (90+ quarterly/annual reports) and covenant monitoring across corporate and project-level facilities
• Partner with Development, Investments, and FP&A to support capital plans, pro formas, financing assumptions, covenant modeling, and scenario analysis
• Maintain Treasury policies, governance frameworks, and risk management standards tailored to real estate operations and financing structures.
Leadership & Team Development
• Develop and mentor a high-performing Treasury team supporting financing execution, cash management, credit, and reporting
• Set clear strategic objectives, ensure cross-functional collaboration, and drive a culture of analytical rigor, accountability, and continuous improvement
Education & Qualifications
• 10–15+ years of progressive experience in real estate treasury, corporate finance, capital markets, or structured real estate lending
• Demonstrated track record executing multi-billion-dollar real estate financings across unsecured, secured, CMHC-insured, construction, and international markets
• Deep understanding of real estate development cycles, project finance, JV structures, and long-term ownership models
• Professional designation (CPA, CFA) strongly preferred; Bachelor's Degree required with MBA or other advanced finance degree an asset
• Strong experience with rating agencies, and institutional capital providers
• Exceptional communication, negotiation, and relationship-building skills with lenders, investors, and internal executives
• Strong financial modeling and analytical capabilities
• Advanced Excel and PowerPoint skills; experience with implementing a treasury management system is an asset
• Proven leadership ability in building processes, and driving strategic transformation
• Occasional domestic and international travel required
This job is for an existing vacancy within our organization.
Based on the position, QuadReal offers a competitive total rewards package in addition to the base pay, which may include a performance-based incentive plan, comprehensive health & dental benefits, pension plan, and paid time off.
The actual salary offered will take into consideration a wide array of factors including, but not limited to, the individual’s skill, experience, education and training, the market compensation of the role, and the consideration to internal equity.
We value diverse experiences and perspectives. Even if your skills don’t align 100% with the listed qualifications or salary range, we encourage you to apply – you may be a great fit for this role or others in our community. Applicants may also be considered for alternative positions within the organization where their qualifications and experience align more closely with available opportunities.
We use artificial intelligence (AI) technology — alongside human review — to assist in screening and assessing applicants for this position. Our recruitment team remains involved in all decisions.
Note to Recruiters: QuadReal does not accept unsolicited resumes from any source other than directly from a candidate. Any unsolicited resumes sent to QuadReal, directly or indirectly, will be considered QuadReal property. QuadReal will not pay a fee for any placement resulting from the receipt of an unsolicited resume. A recruiting agency must first have a valid, written and fully executed agency agreement contract for engaged services to submit resumes.
QuadReal Property Group will provide reasonable accommodation at any time throughout the hiring process for applicants with disabilities or for those needing job postings in an alternate format. If you require accommodation, please advise the Talent Acquisition team member you are working with and include the following: Job posting #, your name and your preferred method of contact.
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