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Funding Administrator

Mcap · Calgary, AB, CA · Active · Cornerstone OnDemand / CSOD

Job facts

FieldValue
CompanyMcap
TitleFunding Administrator
Normalized title-
Department / team-
LocationCalgary, AB, Canada
Work model-
Employment type-
Salary-
Statusactive
ATS providerCornerstone OnDemand / CSOD
Posted / first seen2026-03-06 / 2026-05-29
Changed / last seen2026-05-29 / 2026-06-06

Related slices

PageWhat it containsOpen
Company jobsActive postings from Mcap.Open
Company breakdownsRole, location, ATS, and work model facets for this company.Open
ATS provider jobsActive postings observed through Cornerstone OnDemand / CSOD.Open
Provider filtered searchThe same provider as a filtered job collection.Open
City jobsActive postings in Calgary.Open
Lifecycle eventsOpen, update, close, and reopen events for this posting.Open
Original postingCanonical source or apply URL captured from the ATS.Open

Linked records

CompanyMcap
Source4285a2cf-43a4-42b7-9a17-4ed2b4045b7e
ATS providerCornerstone OnDemand / CSOD

Description

This position is accountable for funding assigned deals having single loan advances as well as processing progress construction advances in accordance with company policies and procedures. The incumbent’s key responsibilities are Loan Payment Processing, Cash Management and Letters of Credit administration in addition to routine administrative tasks. The successful candidate will apply exceptional customer service skills in their interactions and relationships with our clients, third party professionals and internal staff. Construction Loans Set-up new construction loans on loan management system, internal shared drives, and investor portal. Instruct and liaise with external consultants: e.g. lawyers, insurance consultant, cost consultants. Collect, review, and verify loan documentation and funding information from various stakeholders and third parties to ensure all funding condition requirements are met prior to established funding date. Review and process progress advances based upon a cost consultant’s report. Ensure that all Investor approvals are in place for each advance and that the mortgage security is/remains in place maintaining the lender’s priority position. Post advance and administrative financial transactions onto the loan management system. Arrange for internal signoffs to an advance and liaise with the Investor(s) with respect to the satisfaction a loan’s condition precedent. Post advance and administrative financial transactions onto the loan management system. Diarize and maintain follow-up event items on the loan management system: e.g. insurance, financial statements, annual property taxes; solicitor reports. Issuance of monthly Borrower statements. Letters of Credit Transactions Responsible for processing Letters of Credit Amendments and posting transactions on loan administration management system. Issuance of monthly invoicing for Letters of Credit. Payment processing of Letter of Credit Fees for fully cash secured Letters of Credit. Reconcile Letters of Credit between Bank’s records/reports and PLM. Loan Payment Processing and Cash Management Post loan payments, fees, and other financial transactions on the System of Record. Confirm receipt of direct or wire deposit funds into MCAP’s Bank Account. Reconcile received closing proceeds with the respective partial or final discharge statement(s). Advise Cash Management, and Investor Relations of daily cash deposit transactions. Prepare and deliver a deposit slip for daily cash receipts to our Finance Group. Responsible for the preparation of the daily Bank Wires Cheques reconciliation. Records Management Maintain PPSA Security and update information on PLM for tracking purposes. Log and input sales information on project specific sales report. Perform all closing functions to discharge mortgage loans. Responsible for sending, retrieving, and record keeping of files stored with an offsite Records Management company.

Full job record

Job ID9d8359a4c2a273d86cebd52e846b683714a5b08c
Org ID2a97eaaf-52aa-4e9e-91c3-dc283db319dc
Source ID4285a2cf-43a4-42b7-9a17-4ed2b4045b7e
Board ID4285a2cf-43a4-42b7-9a17-4ed2b4045b7e
Providercornerstone_csod
Provider Job Key2171
TitleFunding Administrator
Normalized Title
Statusactive
Activeyes
Location TextCalgary, AB, CA
Department
Team
Employment Type
Workplace Type
Remote Policy
CountryCanada
RegionAB
CityCalgary
Salary Raw
Salary Min
Salary Max
Salary Currency
Salary Period
Source URLhttps://mcap.csod.com/ux/ats/careersite/1/requisition/2171?c=mcap
Apply URLhttps://mcap.csod.com/ux/ats/careersite/1/requisition/2171?c=mcap
First Seen At2026-05-29 19:52:21Z
Last Seen At2026-06-06 20:03:02Z
Last Checked At2026-06-06 20:03:02Z
Last Changed At2026-05-29 22:41:12Z
Inactive At
Source Posted At2026-03-06 00:00:00Z
Source Updated At
Raw Payload Uris3://job-postings-prod-raw-590183727216/raw/provider=cornerstone_csod/board=mcap/date=2026-06-06/2026-06-06T20-03-01-908Z-c11b35e2aec0f6271c3e1ac7ae63c77d68c5e3370fffb7524503d0e5a20424e2.json
Event Fields
{
  "content_hash": "3f802528186c9a753be3639b678c4be7f0d8df2686ac8a600d89584cd31a2792",
  "source_hash": "13aa5b68b147f0fec9c7b2d09c6a667394902b2927ce555942c8e2f27123120d",
  "last_changed_at": "2026-05-29T22:41:12.882Z",
  "active_status": "active"
}
Parsed Structured
{
  "language": "en",
  "location": {
    "raw": "Calgary, AB, CA",
    "city": "Calgary",
    "region": "AB",
    "country": "Canada",
    "is_remote": false,
    "confidence": 0.98
  },
  "salary_max": null,
  "salary_min": null,
  "inferred_at": "2026-06-06T20:03:02.932Z",
  "launch_scope": {
    "reason": "english_us_canada",
    "included": true,
    "language": "en",
    "location": {
      "raw": "Calgary, AB, CA",
      "city": "Calgary",
      "region": "AB",
      "country": "Canada",
      "is_remote": false,
      "confidence": 0.98
    },
    "countries": [
      "Canada"
    ]
  },
  "remote_policy": null,
  "salary_period": null,
  "workplace_type": null,
  "salary_currency": null
}
Extensions
{}
Native Structured
{
  "locations": [
    {
      "city": "Calgary",
      "state": "AB",
      "country": "CA"
    }
  ],
  "requisitionId": 2171,
  "displayJobTitle": "Funding Administrator",
  "externalDescription": " This position is accountable for funding assigned deals having single loan advances as well as processing progress construction advances in accordance with company policies and procedures. The incumbent’s key responsibilities are Loan Payment Processing, Cash Management and Letters of Credit administration in addition to routine administrative tasks. The successful candidate will apply exceptional customer service skills in their interactions and relationships with our clients, third party professionals and internal staff. Construction Loans Set-up new construction loans on loan management system, internal shared drives, and investor portal. Instruct and liaise with external consultants: e.g. lawyers, insurance consultant, cost consultants. Collect, review, and verify loan documentation and funding information from various stakeholders and third parties to ensure all funding condition requirements are met prior to established funding date. Review and process progress advances based upon a cost consultant’s report. Ensure that all Investor approvals are in place for each advance and that the mortgage security is/remains in place maintaining the lender’s priority position. Post advance and administrative financial transactions onto the loan management system. Arrange for internal signoffs to an advance and liaise with the Investor(s) with respect to the satisfaction a loan’s condition precedent. Post advance and administrative financial transactions onto the loan management system. Diarize and maintain follow-up event items on the loan management system: e.g. insurance, financial statements, annual property taxes; solicitor reports. Issuance of monthly Borrower statements. Letters of Credit Transactions Responsible for processing Letters of Credit Amendments and posting transactions on loan administration management system. Issuance of monthly invoicing for Letters of Credit. Payment processing of Letter of Credit Fees for fully cash secured Letters of Credit. Reconcile Letters of Credit between Bank’s records/reports and PLM. Loan Payment Processing and Cash Management Post loan payments, fees, and other financial transactions on the System of Record. Confirm receipt of direct or wire deposit funds into MCAP’s Bank Account. Reconcile received closing proceeds with the respective partial or final discharge statement(s). Advise Cash Management, and Investor Relations of daily cash deposit transactions. Prepare and deliver a deposit slip for daily cash receipts to our Finance Group. Responsible for the preparation of the daily Bank Wires Cheques reconciliation. Records Management Maintain PPSA Security and update information on PLM for tracking purposes. Log and input sales information on project specific sales report. Perform all closing functions to discharge mortgage loans. Responsible for sending, retrieving, and record keeping of files stored with an offsite Records Management company. ",
  "postingEffectiveDate": "3/6/2026",
  "postingExpirationDate": "-"
}
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