Manager, Financial Reporting

Brookfield PropertiesCleveland, OH
$100,000 - $118,000

About The Position

At Brookfield Properties, our success starts with our people. People like you. Brookfield Properties develops and operates real estate investments on behalf of Brookfield Asset Management — one of the largest alternative asset managers in the world. From office to retail, logistics to multifamily, and hospitality to development, we work across sectors to bring high-quality, sustainable real estate to life around the globe every day. We are seeking a Manager, Financial Reporting to be responsible for the generation, preparation, and communication of information that is complete and accurate to support effective decision making, management, internal controls, and financial reporting. Managers are responsible for completing a wide range of corporate accounting, real estate accounting, and reporting activities within the the Corporate Accounting & Reporting team under the guidance and supervision of Accounting Directors. Managers may be responsible for and/or corporate/service/management entities depending on the level of accounting complexity involved. Managers’ responsibilities reflect varying levels of capabilities and are expected to evolve as individuals acquire relevant experience and demonstrate greater accountability.

Requirements

  • CPA or equivalent designation required.
  • Bachelor’s degree in accounting or finance.
  • Minimum 6+ years of progressive accounting, reporting, or finance experience.
  • Proficiency in applicable accounting basis (IFRS, US GAAP, ICA GAAP).
  • Experience supervising junior staff and reviewing work for accuracy as well as managing workload and reviewing deliverables for offsite consultant teams.
  • Strong technical accounting and consolidation skills.
  • Proficiency in Yardi, OneStream, or similar reporting systems.
  • Advanced Excel and PowerPoint skills.
  • Experience coordinating and reviewing outputs from third-party accounting teams.
  • Effective communication with cross-functional stakeholders.
  • Exposure to coordinating deliverables with third-party accounting teams.

Responsibilities

  • Supervise preparation of financial statements, investor packages, and board materials in accordance with applicable accounting basis (proficiency in IFRS, US GAAP, ICA GAAP as relevant).
  • Manage onboarding and offboarding of investments in coordination with tax, legal, and third-party property managers.
  • Oversee affiliate fee management, capital calls, distributions, and reconciliations.
  • Lead audit processes, ensuring accurate and timely responses to SOX, lender, and tax inquiries.
  • Review valuation models and support development of budgets and business plans.
  • Coordinate deliverables with third-party accounting teams, ensuring accuracy of reporting hand-offs.
  • Collaborate with technology and business partners to implement improvements to reporting and audit workflows.

Benefits

  • 401K matching
  • tuition reimbursement
  • summer Fridays
  • paid maternity leave
  • generous employee referral program
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