Sr. Financial Analyst

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

About The Position

Reporting to the Director, Finance, the candidate will play a key role in the financial reporting, operational finance, and process transformation activities supporting Brookfield’s real estate asset management platform. The candidate requires strong analytical capabilities, process orientation, and the ability to operate effectively across a complex multi-entity environment.

Requirements

  • CA or CPA designation with 3 years of experience in accounting and finance
  • Excellent communication skills and ability to collaborate effectively across a wide audience
  • Highly organized and has ability to fulfill responsibilities in a fast-paced environment
  • Critical thinker who conceptualizes and analyzes information in unstructured situations
  • Advanced Excel skills and tech-savvy to implement changes that enhance reporting processes

Nice To Haves

  • Knowledge of Microsoft Dynamics and OneStream would be an asset

Responsibilities

  • Assist with OneStream-based consolidation and reporting processes
  • Prepare and post journal entries for manager/corporation entities
  • Prepare consolidated financial statements for annual tax reporting/filings
  • Support multiple consolidation and reporting streams, including IFRS to US GAAP conversion
  • Prepare accounting assessments for significant transactions, including VIE and consolidation analysis
  • Review quarterly management reports on fee revenues, expense reforecasts, and other key drivers
  • Assist in system implementation of reporting solutions including PowerBI and Sigma
  • Develop in-depth understanding of reporting processes and action on opportunities to build scalable processes that improve efficiency, controls and data quality
  • Coordinate operational workflows relating to management fees, legal entity administration, intercompany activity, and fund operations across global finance teams
  • Perform and review month end procedures mainly in Microsoft Dynamics, including cash entries, steps memos, intercompany reconciliations and bank reconciliations
  • Collaborate effectively with teams across Fund operations, tax, legal, and treasury to execute fund flows
  • Review and analyze deliverables prepared by team members to ensure accuracy and completeness
  • Help implement advanced Excel formulas to automate recurring analysis/working papers
  • Undertake various ad hoc analysis as required

Benefits

  • Positive Work Environment that is safe and respectful
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