Financial Operations Manager

1 day ago


Old Toronto, Canada Brookfield Full time
About Brookfield

Brookfield Private Equity Group has a strong track record of delivering consistent investment performance. Leveraging its expertise as a long-term owner and operator, the team focuses on acquiring high-quality businesses with barriers to entry and enhancing their cash flow capabilities through improved strategy and execution.

The private equity group manages over $130B in assets, with an integrated team of investment and operational professionals located globally. Investors can participate in the growth of our industrial and services businesses through our publicly listed vehicle, Brookfield Business Partners, or through our private funds. Our flagship global private equity fund, Brookfield Capital Partners VI, is currently raising its sixth fund and has a diverse group of institutional partners from around the globe.

Job Description

This role is within the Finance and Operations team of the Private Equity group and will be part of the team responsible for fund operations and private reporting requirements. The Private Equity team, as a whole, is responsible for both public and private financial reporting, treasury, and fund operations.

Key Responsibilities:
  • Review quarterly reporting to investors and other users, including financial statements prepared under US GAAP and fund and investment performance tracking.
  • Presentation of quarterly results to senior management.
  • Review valuations of fund investments on a quarterly basis.
  • Review of accounting packages for individual legal entities, including review of tax financials.
  • Preparing internal and external audit requests and maintaining appropriate control documentation.
  • Thorough understanding of the legal structure of the various funds and the related impact on funds flows and consolidation.
  • Assist with analysis of complex accounting issues that arise.
  • Special projects & ad hoc requests as required.
Requirements:
  • Professional accounting designation (CPA/CA preferred).
  • Minimum of five years of progressive work experience in finance and/or accounting functions.
  • Experience in private funds and knowledge of the investment management industry, and experience dealing with complex ownership structures would be an asset.
  • Strong financial systems experience, including advanced Excel.

Estimated salary range: $80,000-$110,000 per annum, depending on location and experience.



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