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Senior Financial Analyst, Risk Management

Brookfield Asset Management
Brookfield Place, United Statesfull_timeVerifiedPosted 2 Nov 2024

About the role

Location

Brookfield Place - 181 Bay Street

Business - Private Equity

The Brookfield Private Equity Group has a 20-year track record of consistently generating strong investment performance. Leveraging its deep experience as a long-term owner and operator of world-class assets and businesses, the team is focused on acquiring high-quality businesses with barriers to entry and enhancing their cash flow capabilities by improving strategy and execution. The private equity group has over $131B of assets under management, with an integrated team of investment and operational professionals located in key regions around the world. Investors can participate in the growth of our industrial and services businesses through our publicly listed vehicle, Brookfield Business Partners, or through our private funds. Our flagship global private equity fund, Brookfield Capital Partners VI, is currently raising its sixth fund and has a diverse group of institutional partners from around the globe. Brookfield Business Partners is listed on the New York and Toronto stock exchanges (NYSE: BBU, TSX: BBU.UN). For more information, please visit our website at https://bbu.brookfield.com.

Brookfield Culture

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.


Job Description

Senior Financial Analyst, Risk Management

Risk Management Specific Responsibilities: 

  • Develop a strong understanding of operating businesses, including ad-hoc analysis over certain operational metrics

  • Prepare quarterly and annual risk presentations, covering anti-bribery and corruption, health & safety, and climate risk for Brookfield senior management and our Board

  • Support review of risk registers across portfolio companies during the business planning process

  • Support the onboarding and integration of new acquisitions into Brookfield's asset management program

  • Support the execution of Group’s portfolio governance processes, including monitoring programs such as anti-bribery and corruption, compliance with emerging regulations, and coordination of risk and compliance trainings

  • Support and coordinate the Group’s internal control over financial reporting compliance program

  • Strategic ad-hoc analysis and special projects as required

Sustainability Specific Responsibilities: 

  • Lead the annual sustainability KPI collection process, including managing, analyzing, monitoring and presenting portfolio performance

  • Support quarterly and annual reports for public and private fund investor purposes, including annual Sustainability Reports

  • Frequent communication with portfolio company sustainability and finance teams, and with public and private fund finance teams to support investor relations, regulatory compliance reporting, board reporting, and sustainability initiatives

  • Research and communicate evolving sustainability frameworks, networks, and regulations and synthesize the information for internal and external presentations

  • Manage, analyze and monitor greenhouse gas emissions inventory and forecasting for Brookfield Private Equity Group

Ideal Candidate Qualifications: 

  • Qualified CPA, CA, preferably with Big 4 experience and a proven track record of high performance

  • Minimum of three years of progressive work experience in related functions 

  • Demonstrated leadership ability and is a team player, willing to always support the team

  • Strong communication skills (oral and written) and interpersonal skills

  • Excellent analytical and problem-solving ability; willingness to “dive into the details”

  • Ability to adapt to change in a fast-paced environment

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Company

Brookfield Asset Management

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