Financial Operations Director

2 weeks ago


Old Toronto, Canada Brookfield Asset Management, Inc Full time

Brookfield Asset Management, Inc is a leading private equity group with a 20-year track record of generating strong investment performance.

Role Overview

The Financial Operations Director will be responsible for fund operations and reporting needs of Brookfield's Private Equity group.

Main Responsibilities:

  1. Review quarterly reporting to investors and other users, including financial statements prepared under US GAAP and fund and investment performance tracking.
  2. Review public reporting templates prepared in accordance with IFRS.
  3. Review public reporting templates comprised of metrics used in Brookfield Asset Management's asset management reporting.
  4. Review of investor PCAP and available commitment schedules on a quarterly basis.
  5. Presentation of quarterly results to senior management.
  6. Overseeing the team's interaction with various service providers to ensure information being provided to investors is accurate and provided in a timely basis.
  7. Review valuations of fund investments on a quarterly basis.
  8. Review of accounting packages for individual legal entities, including review of tax financials.
  9. Preparing internal and external audit requests and maintaining appropriate control documentation.
  10. Managing and reviewing capital calls from, and distributions to investors.
  11. Assist with managing fund operations, including investment closes, liquidity management, investor queries, forecasting and compliance.
  12. Thorough understanding of the legal structure of the various funds and the related impact on funds flows and consolidation.
  13. Assist with analysis of complex accounting issues that arise, including the structuring of new acquisitions.
  14. Provide oversight on any process improvements to the reporting process and ensuring new funds are set up with a best in practice approach.
  15. Actively coach team members.
  16. Special projects & ad hoc requests as required.

Requirements:

  1. University degree.
  2. Professional accounting designation (CPA/CA preferred).
  3. Minimum of seven years of progressive work experience in finance and/or accounting functions.
  4. Experience in private funds and knowledge of the investment management industry, and experience dealing with complex ownership structures would be an asset.
  5. Demonstrated leadership ability and initiative.
  6. Excellent analytical and problem-solving ability.
  7. Exemplifies the right motivation by aspiring to achieve collective goals.
  8. Ability to work in a dynamic, complex, fast-paced environment, to adapt quickly and to manage changing priorities.
  9. Superior communication skills (oral and written) and interpersonal skills.
  10. Strong organizational skills and ability to multi-task, prioritize and meet deadlines.
  11. Strong financial systems experience, including advanced Excel.
  12. Self-motivated and pro-active, with respect to both managing workload and professional development.

$120,000 - $180,000 per year based on location and experience. The salary range is based on industry standards for this role and is negotiable depending on the candidate's qualifications and background.



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