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Director of Corporate Finance

Job in Las Vegas, Clark County, Nevada, 89105, USA
Listing for: Real Capital Partners, LP
Full Time position
Listed on 2026-01-30
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Manager, Financial Consultant, Financial Analyst
Salary/Wage Range or Industry Benchmark: 125000 - 150000 USD Yearly USD 125000.00 150000.00 YEAR
Job Description & How to Apply Below

9480 S Eastern Ave, Suite 251 Las Vegas, NV 89123

Welcome and thank you for your interest in joining our team!

We’re excited that you’re considering a career with us. At Real Capital, we’re always looking for individuals who bring passion, integrity, and a commitment to excellence in everything they do. This application is your first step toward becoming part of a team that values collaboration, growth, and meaningful impact.

Working for Real Capital definitely has it perks:

  • Comprehensive Benefits – including medical, dental, vision, life, disability, and 401(k) retirement plans.
  • Work-Life Balance Support – paid time off, holidays, sick leave, parental leave, and other forms of protected leave across our companies.
  • Wellness & Lifestyle Perks – employer-funded Lifestyle Spending Account, Employee Assistance Program, and access to voluntary benefits such as pet insurance, accident, and critical illness coverage.
  • Growth & Opportunity – a culture of training, development, and internal promotion, with clear pathways for career advancement!

We look forward to learning more about you!

Position Summary

We are seeking a highly experienced Director of Corporate Finance to join our leadership team and establish this newly created role within our organization. Reporting directly to the CEO (or a potential CFO as the team evolves), this position will be instrumental in building the infrastructure and processes to manage our multi-entity, multi-partner structure. The ideal candidate is a strategic thinker with deep expertise in financial modeling, treasury oversight, and fund management, capable of growing into a CFO role.

This is an opportunity to shape the financial foundation of a scrappy, growth-oriented company, focusing on cash flow forecasting, capital calls, distributions, and strategic financial analysis amid complex ownership and funding dynamics.

Key Responsibilities
  • Fund Cash Flow Modeling
    :
    Develop and maintain comprehensive cash flow models at the fund level, including property-level projections, fund roll-ups, and waterfall structures. Ensure models account for varying ownership percentages across entities and integrate with overall organizational financial flows.
  • Capital Calls and Distributions
    :
    Oversee the analysis and execution of capital calls and distributions, establishing formal processes to track and allocate funds across partners and entities.
  • Financial Statement Analysis
    :
    Conduct in-depth analysis of financial statements with a focus on balance sheet items, providing accounting feedback and ensuring accuracy in multi-entity reporting. Provide support to the accounting team to manage due to/from accounts and partner equity tracking to maintain compliance and transparency.
  • Ad-Hoc Modeling for Strategic Finance
    :
    Perform ad-hoc financial modeling to evaluate strategic alternatives, including scenario planning and projections for growth initiatives. Collaborate with asset management and other teams to provide input on financial strategies.
  • Oversight of Treasury
    :
    Lead the treasury function, including accounts payable oversight, cash management, and co-management with existing team members. Interface with banking partners to monitor funding status and approve payments.
  • Management Company Cash Tracking
    :
    Implement structured processes for tracking cash flows in management companies, addressing current unstructured elements and ensuring separation of funds as new investors join.
  • Infrastructure and Process Building
    :
    As this role is newly created, prioritize building key processes such as a 12-week rolling cash forecast and fund-level distribution models that benchmark against originals. Gain a deep understanding of organizational structures, fund hierarchies, asset allocations, and financial flows to support treasury, modeling, and partner communications.
  • Team Leadership and Collaboration
    :
    Manage and mentor a growing team, including Treasury Manager, Treasury Specialist, AP Manager, and potential future FP&A Analyst. Foster dotted-line collaborations with asset management for financial modeling support and lender interactions.
  • Strategic Planning
    :
    Take a vast list of financial challenges, prioritize based on…
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