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Treasury Analyst

Brookfield Asset Management Inc.  (“Brookfield”) is a global alternative asset manager with approximately $285 billion in assets under management. Brookfield has over a 100-year history of owning and operating assets with a focus on property, renewable power, infrastructure and private equity. Brookfield offers a range of public and private investment products and services, which leverage their expertise and experience and provide a distinct competitive advantage in the markets in which they operate. Brookfield is co-listed on the New York and Toronto Stock Exchanges under the symbols BAM and BAM.A, respectively, and on the NYSE Euronext under the symbol BAMA. For more information, please visit our web site at 


The Analyst will be responsible for performing various tasks under the Cash and Risk Management functions of the Treasury group within the Private Equity platform. The ideal candidate is a motivated team player who is focused on efficiency and accuracy, that’s eager to grow their career and skillset.



Cash / Systems Function

  • Assist with daily bank reconciliations within the Treasury Management System (“Quantum”) and appropriately match / designate cashflows for reporting purposes;
  • Investigate failed transactions or settlements to ensure appropriate adjustments are made during reconciliations;
  • Capture daily FX maturities from Quantum and communicate with counter parties to confirm settlements;
  • Create wire templates on bank’s online portal, ensure all wires and transfers are set up according to the AP requests;
  • Create bank account groups and add newly created bank accounts in Quantum;
  • Serve as a back up for executing urgent / important cash transactions as required;

Financial Risk Management & Operations

  • Monitoring and preparing liquidity forecasts for the public and private platforms;
  • Actively maintaining and tracking debt facilities and their requirements to ensure compliance
  • Assist with preparation and analysis of risk metrics related to subsidiary level debt and covenants;
  • Maintenance of custody accounts and custody related transactions;
  • Supporting the financial reporting function every quarter by providing information necessary for the Management Discussion and Analysis;
  • Supporting treasury front and middle offices;
  • Preparing and executing funds flow with a high degree of complexity and coordinate the preparation of associated legal documentation and steps memos
  • Various ad-hoc duties.



  • Recognized professional accounting designation (completion or near completion of CPA preferred);
  • Minimum of one to three (1-3) years of progressive work experience in finance and/or accounting functions;
  • Strong financial systems experience, including advanced Excel;
  • Demonstrated leadership ability and initiative;
  • Excellent analytical, and problem-solving ability;
  • Exemplifies the right motivation by aspiring to achieve collective goals;
  • Ability to work in a dynamic, complex, fast-paced environment, can manage changing priorities;
  • Superior communication skills (oral and written) and interpersonal skills;
  • Strong organizational skills and ability to multi-task, prioritize and meet deadlines;
  • Self-motivated and pro-active, with respect to both managing workload and professional development.
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