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The Brookfield Infrastructure Group ("BIG") is one of Brookfield Asset Management's primary operating groups. The Infrastructure Group operates and manages over $66 billion of assets owned through its private funds and public listed entity, Brookfield Infrastructure Partners. Our portfolio of infrastructure assets is primarily in the utilities, transport, energy and communication infrastructure sectors, located in North and South America, Europe and the Asia Pacific region.
The Treasury Operations Specialist will be part of the Infrastructure Group's Finance team. Specifically, working alongside the Manager, Cash Management and Analyst. You will be responsible for the day-to-day operations and treasury activities of the general partner and manager in the Infrastructure Group, as well as the private funds raised with approximately $25 billion of capital under management today.
Prepare weekly, monthly and quarterly treasury reports
Initiate all wires in the BIG banking platforms
Investigate of discrepancies with financial institutions
Analyze movement of funds and provide feedback on the timing of payments and flow of funds
Monitor global liquidity positions including Brookfield's credit facility
Monitor and execute foreign exchange hedge settlements
Assist with the implementation of control procedures surrounding cash management activities
Develop cash flow forecasting models to enable active monitoring and optimization of working capital
Assist in the preparation of liquidity forecasting for major capital events, operating requirements and distributions
Develop and maintain positive relationships and consistent communication with our banks, financial institutions and with key internal business partners
Document and update Treasury Policies and Procedures relating to funds flow and cash management activities
Support and execute ad-hoc requests or inquiries from senior management or other business groups
Bachelor's degree or a diploma in degree in Finance, Accounting or related field
Minimum of 3 years of work experience in Treasury or Cash Management function
Experience creating wires in banking platforms
Excellent attention to detail and accuracy
Superior communication skills (oral and written) and interpersonal skills - communication is key in this role!
Organized, efficient, pro-active and can meet deadlines
Enthusiastic, dependable team player with a strong work ethic
Internal Number: 6393852
About Brookfield Asset Management
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