Senior Fund Accountant (BSREP IV)

Brookfield Asset ManagementNew York, NY
$115,000 - $135,000Onsite

About The Position

Brookfield Real Estate Group is one of Brookfield’s primary operating groups. The Real Estate Group is one of the world's largest investors in real estate, with a global portfolio that includes office, retail, multifamily, logistics, hospitality and alternative real estate assets on five continents. The Group owns and operates approximately $268 billion of assets representing the most iconic properties in the world’s most dynamic markets. We seek to generate value by leveraging our operating expertise and focusing on our core real estate capabilities of leasing, financing, development, design and construction as well as property and facilities management. For more information, visit https://www.brookfield.com/our-businesses/real-estate. 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.

Requirements

  • 3-5 years of Private Equity experience, preferably with a CPA
  • Experience in private and public accounting is preferred
  • Fund administration and accounting experience preferred
  • Advanced knowledge of Microsoft Excel
  • Thorough and meticulous with extreme focus on details
  • Strong communication (oral and written) and interpersonal skills
  • Team oriented
  • Demonstrated leadership ability and initiative
  • Ability to multi-task with good time management skills to meet multiple reporting deadlines
  • Good process management skills

Nice To Haves

  • Experience with Investran a plus

Responsibilities

  • Preparation and review of financial statements in accordance with US GAAP
  • Interact with the external audit and tax reporting processes with big 4 firms
  • Compile, analyze and prepare funds’ financial data and operating metrics
  • Credit facility loan administration and compliance
  • Coordinate with banks for foreign currency exchange and derivative transactions
  • Coordinate with fund administrator for accounting and reporting matters
  • Prepare and review investor reports, capital call and distribution notices
  • Maintain investor commitments and capital account statements
  • Support investor relations team with data collection and ad-hoc requests
  • Assist and coordinate with other departments to fulfill fund operations, reporting requirements and responding to inquiries from investors
  • Calculate management fee and waterfall
  • Assist with providing financial information needed for compliance and regulatory filings

Benefits

  • Short-term incentive program (cash bonus)
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