Director, Finance

Brookfield Asset ManagementToronto, ON

About The Position

As a member of the Brookfield Infrastructure Finance and Operations team, you will report to the Vice President, Finance and work alongside a strong team and collaborate with several internal and external stakeholders.

Requirements

  • University degree
  • Professional accounting designation (CPA/CA)
  • Minimum of seven years of progressive work experience in finance and/or accounting functions
  • Demonstrated leadership ability 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 pro-active, with respect to both managing workload and professional development.

Nice To Haves

  • Experience in private funds and knowledge of the investment management industry, and experience dealing with complex ownership structures would be an asset.
  • Experience with Mercatus, Workiva, Anaplan all an asset

Responsibilities

  • Review quarterly reporting to investors and other users, including financial statements prepared in accordance with US GAAP – Investment Company Accounting and IFRS
  • Review of investor Partners’ Capital Statements (“PCAPs”) and available commitment schedules on a quarterly basis
  • Presentation of quarterly results to senior management
  • Overseeing the team’s interaction with various service providers to ensure information being provided is accurate and provided in a timely basis
  • 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
  • Managing and reviewing capital calls from, and distributions to investors
  • Assist with managing fund operations, including liquidity management, investor queries, forecasting and compliance
  • 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, including the structuring of new acquisitions
  • Provide oversight on any improvements to the reporting process and actively coach team members
  • Special projects & ad hoc requests as required
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