Senior Financial Analyst

Brookfield Asset ManagementToronto, ON
CA$90,000 - CA$110,000Onsite

About The Position

Partners Value Investments L.P. ("Partners") is a publicly listed investment holding company with over US$11 billion in assets primarily deployed across core Brookfield holdings, and is expanding its mandate to include exceptional businesses that will not have conflicts with Brookfield. This strategy is supported by a flexible capital base that can be deployed across multiple industries and into both public and private market opportunities. Partners Value Investments L.P. is listed on the Toronto stock exchange (TSXV: PVF.UN). Position Summary: The candidate will be part of Partners’ Finance team and will report into the Director, Finance. Located in our head office in Downtown Toronto, the role is a visible position that provides a solid foundation and exposure to a progressive and dynamic career. The candidate will be responsible for financial reporting for Partners and its subsidiaries, with principal investments in Brookfield’s various securities. The candidate will also support investor relations and compliance as well as management and board reporting.

Requirements

  • Background in public company accounting and/or industry, with at least 3 years of relevant progressive experience
  • A recognized professional accounting designation (CPA)
  • Experience with preparation and review of public company IFRS financial statements
  • Highly organized and able to work in a dynamic, complex and fast-paced environment, as well as adapt quickly to manage changing priorities and deadlines
  • Self-motivated and proactive, with respect to both managing workload and professional development
  • Superior communication skills (oral and written) and interpersonal skills
  • Strong financial systems experience, including advanced Excel

Nice To Haves

  • Knowledge of Microsoft Dynamics and Workiva would be an asset

Responsibilities

  • Prepare and review corporate financial records, including journal entries, bank reconciliations, capital schedules, and investment summaries
  • Lead monthly/quarterly/annual close cycles and identify opportunities to implement practical changes to drive improvements and efficiencies
  • Thorough understanding of the structure and purpose of the various legal entities and the related impact on funds flows and consolidation
  • Prepare and analyze consolidated reporting, including public IFRS financial statements, MD&A and press release, as well as board reporting
  • Monitor and report on various operating metrics including cash flow forecast, NAV calculation, and capital activity, and perform ad hoc analyses to support senior management’s decision-making and investor relations queries
  • Assist with analysis of complex accounting issues that arise
  • Assist in the execution of transactions including substantial issuer bids, prospectuses, and re-financings for the public issuers
  • Special projects & ad hoc requests as required

Benefits

  • Challenging work assignments
  • Exposure to diverse businesses
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service