Senior Analyst, Treasury

Brookfield Asset Management
Toronto, Canada
Aug 22, 2019
Sep 05, 2019
Job Function
Industry Sector
Finance - General
Employment Type
Full Time
Brookfield Asset Management Inc. is a global alternative asset manager with over $350 billion in assets under management. We have over a 100-year history of owning and operating assets with a focus on property, renewable energy, infrastructure and private equity. Our assets are held through a growing portfolio of private funds and public, listed entities. Brookfield owns and manage one of the largest portfolios of premier office properties and renewable energy generating facilities as well as long-life infrastructure assets globally. Our assets are held through a growing portfolio of private funds and public listed entities. For more information, please visit our website at

About the Position

The Senior Analyst ("SA") will be part of the Global Manager group and will report into the Senior Vice President of Finance. The SA will be accountable for the treasury and capital markets operations within BAM including cash management and forecasting, risk management, financial reporting and maintaining our banking relationships. The SA will be working directly with leadership as well as our external stakeholders.

Main Responsibilities:
  • Assist with daily cash management, liquidity management and forecasting
  • Work with global business units to prepare global capital plan
  • Support all of the Corporate capital markets activities
  • Support the Company's relationships with commercial banks, credit rating agencies, and lenders
  • Quarterly risk reporting including monitoring and reporting on liquidity, foreign currency and interest rate exposures, debt maturities and covenants
  • Support quarterly financial reporting of corporate finance activities,
  • Debt compliance
  • Prepare various analyses and reports for leadership, including risk reporting to the risk committee and board
  • Remain well-informed of Capital Markets and Brookfield's own investment strategies
  • Manage technology platforms to enhance reporting and manual processes
  • Participate in any ad-hoc Treasury and Capital Markets projects

Qualifications & Requirements:
  • University degree in Business or Finance
  • Completed CPA, or working towards CPA designation, CFA is an asset.
  • Minimum of 3 years of financial services-related experience, exposure to global capital markets, consolidation or treasury is an asset
  • Interpersonal skills, is a team player with positive attitude and pro-active approach to work
  • Strong communication skills, can work effectively with all levels and departments within a complex organization
  • Strong interpersonal and communication skills, can translate complex technical issues or processes to others
  • Excellent analytical, and problem-solving abilities, also strong with MS Office (Excel, PPT)

This position would be suitable for those candidates who meet the position requirements and who thrive in a performance-driven environment that emphasizes employee leadership and accountability for delivering results

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