Manager, Finance

Brookfield Corp.

Toronto

Hybrid

CAD 110,000 - 140,000

Full time

3 days ago
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Job summary

Brookfield Corp. in Toronto seeks a Manager of Finance to lead the Private Funds Finance and Operations group. You will oversee quarterly investor reporting, NAV packs, liquidity forecasting, and coordination with auditors and external service providers.

The role requires a university degree with a CPA/CA designation, 5+ years in finance, and strong leadership, analytical, and communication skills to manage complex fund structures and deliver timely information.

Qualifications

  • University degree (business or accounting a asset).
  • Professional accounting designation (CPA/CA).
  • 5+ years of progressive work experience in finance and/or accounting.
  • Experience in private funds and knowledge of the investment management industry would be an asset.
  • Demonstrated leadership and initiative.
  • Excellent analytical and problem-solving ability.

Responsibilities

  • Review quarterly financial reporting to investors and other users, including US GAAP statements.
  • Review NAV packs and working papers for accuracy and completeness.
  • Manage fund capital activity, liquidity and forecasting.
  • Present quarterly significant transactions to senior management.
  • Coordinate external service providers to ensure timely, accurate investor information.
  • Work with auditors and maintain control documentation.
  • Understand complex fund structures and their impact on flows and consolidation.
  • Assist with analysis of complex accounting treatments and process improvements.
  • Provide people management and development, and support special projects as needed.

Skills

Leadership
Analytical skills
Communication
Multi-tasking
Financial reporting

Education

CPA/CA designation
University degree (business or accounting)

Tools

Excel

Job description

## Manager, FinanceApply: Toronto, Ontario: Full time: Posted Yesterday: R2052947**Location**Brookfield Place - 181 Bay Street **Business - Infrastructure** Brookfield Infrastructure Group is one of Brookfield’s primary operating groups. The Infrastructure Group is one of the world’s largest infrastructure investors, owning and operating critical assets across the transport, utilities, energy, and data infrastructure sectors. The Group operates and manages approximately $262 billion of assets owned through its private funds and publicly listed entity, Brookfield Infrastructure Partners. Our portfolio of assets facilitate the movement and storage of energy, water, freight, passengers and data, and are located in North and South America, Europe and the Asia Pacific regions. For more information, visit: https://www.brookfield.com/our-businesses/infrastructure**Brookfield Culture**Brookfield has a unique and dynamic culture. We seek team members who have a long-term focus and whose values align with our Attributes of a Brookfield Leader: Entrepreneurial, Collaborative and Disciplined. Brookfield is committed to the development of our people through challenging work assignments and exposure to diverse businesses.**Job Description****Job Description**This role is within Brookfield Infrastructure’s Private Funds Finance and Operations group and will be part of the team responsible for fund operations reporting requirements. The successful candidate will be a self-starter that enjoys working in a fast-paced environment, has excellent interpersonal skills, is detail oriented, experience in managing a team of high performing staff, possesses a high degree of intellectual curiosity, and has a strong foundation in finance and accounting.**Responsibilities:**The responsibilities for this position would include, but not be limited to:* Review quarterly financial reporting to investors and other users, including financial statements prepared under US GAAP, as well as fund and investment performance metrics* Review NAV packs (and other working papers) prepared by external fund administrators to ensure accuracy and completeness* Manage fund capital activity, liquidity and forecasting* Present quarterly significant transactions to senior management* Coordinating various external service providers to ensure information being provided to investors is accurate and timely* Working with internal and external auditors and maintaining appropriate control documentation* Develop a thorough understanding of the complex legal structures of the various funds and the related impact on funds flows and consolidation* Assist with analysis of complex accounting treatments* Develop and implement process improvements* People management and development* Special projects & ad hoc requests as required**Requirements:*** University degree (business or accounting an asset)* Professional accounting designation (CPA/CA)* 5+ 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* Demonstrated leadership and initiative* Excellent analytical, and problem-solving ability* Exemplifies the right motivation by aspiring to achieve collective goals* Ability to work in a dynamic, complex, fast-paced environment, to adapt quickly and to manage changing priorities* Superior communication skills (oral and written) and interpersonal skills* Strong organizational skills and ability to multi-task, prioritize and meet deadlines* Strong financial systems experience, including advanced Excel* Self-motivated and proactive, with respect to both managing workload and professional developmentComp Range: $110,000 CAD - $140,000 CAD
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